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WINTON GROUP Ltd

All holdings · as of Jun 30, 2026

1,137 positions

CompanyClassValueShares% of portfolio
Teladoc Health, Inc.$1.93M227,1000.1%
CASEYS GENERAL STORES INC$1.91M2,4000.1%
Infosys LtdINFYADR$1.91M181,8000.1%
T-Mobile US, Inc.TMUSCommon Stock$1.91M11,3660.1%
Rithm Capital Corp.$1.89M201,7110.1%
PRUDENTIAL PLC$1.89M70,5000.1%
AVANOS MEDICAL, INC.$1.86M74,9360.1%
DLOCAL LTD$1.85M142,5250.1%
Jackson Financial Inc.$1.85M18,0620.1%
INTEGRA LIFESCIENCES HOLDINGS CORP$1.84M102,6320.1%
SAP SE$1.82M11,7800.1%
APPLIED OPTOELECTRONICS, INC.$1.81M12,2390.1%
NEKTAR THERAPEUTICS$1.81M25,9000.1%
NIKE, Inc.$1.80M43,9230.1%
Otter Tail Corp$1.79M19,9460.1%
HERSHEY CO$1.79M10,2000.1%
DIAGEO PLC$1.78M22,1350.1%
StepStone Group Inc.$1.77M42,7960.1%
FOX CORP$1.76M33,7000.1%
Flutter Entertainment plc$1.76M17,1830.1%
SSR MINING INC.SSRMCommon Stock$1.75M61,9000.1%
NetApp Inc$1.75M11,3000.1%
OLIN Corp$1.75M88,1530.1%
BANK BRADESCOBBDADR$1.74M502,2000.1%
Qualys Inc$1.74M12,6600.1%
Corebridge Financial, Inc.$1.73M60,3930.1%
GATES INDUSTRIAL CORP PLC$1.73M61,8020.1%
PG&E Corp$1.72M102,1720.1%
Xencor Inc$1.71M106,2470.1%
Ralph Lauren Corp$1.71M4,2580.1%
HEICO CORP$1.69M4,7580.1%
CLEANSPARK, INC.$1.69M115,8340.1%
Hamilton Lane INC$1.68M21,3610.1%
NETSTREIT Corp.$1.68M79,6010.1%
BRIGHT HORIZONS FAMILY SOLUTIONS INC.$1.68M23,7000.1%
ARCBEST CORP /DE$1.68M11,7000.1%
Kinsale Capital Group, Inc.$1.68M5,0850.1%
ScanSource Inc$1.68M32,1820.1%
NETSCOUT SYSTEMS, INC.$1.68M38,4690.1%
BENCHMARK ELECTRONICS INC$1.67M16,9570.1%
Syndax Pharmaceuticals Inc$1.67M76,5000.1%
Inspire Medical Systems, Inc.$1.67M37,4120.1%
CENTRAL PACIFIC FINANCIAL CORP$1.66M43,5760.1%
Tompkins Financial Corp$1.66M17,5110.1%
Alpha & Omega Semiconductor Ltd$1.65M34,8890.1%
Hewlett Packard Enterprise Co$1.65M36,6000.1%
ROGERS CORP$1.65M10,0630.1%
X-Energy, Inc.XECommon Stock$1.64M89,5750.1%
HEALTHCARE SERVICES GROUP INC$1.64M66,9480.1%
Zions Bancorp NA$1.64M23,7390.1%
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