Origin Asset Management LLP - Q4 2013 holdings

$1.49 Billion is the total value of Origin Asset Management LLP's 100 reported holdings in Q4 2013. The portfolio turnover from Q3 2013 to Q4 2013 was 22.7% .

 Value Shares↓ Weighting
JPM SellJP MORGAN CHASE & CO$42,971,000
+10.7%
734,796
-2.1%
2.88%
-0.3%
QCOM SellQUALCOMM INC$42,236,000
+5.3%
568,838
-4.5%
2.84%
-5.2%
CI SellCIGNA CORP$36,777,000
+0.4%
420,399
-11.8%
2.47%
-9.6%
GS SellGOLDMAN SACHS GROUP INC$35,038,000
+9.4%
197,663
-2.3%
2.35%
-1.5%
DFS SellDISCOVER FINL SVCS$34,193,000
+0.8%
611,141
-8.9%
2.30%
-9.3%
BLK SellBLACKROCK INC$33,214,000
+9.0%
104,953
-6.8%
2.23%
-1.9%
MCK SellMCKESSON CORP$33,080,000
+24.0%
204,956
-1.4%
2.22%
+11.7%
CELG SellCELGEN CORP$32,052,000
-9.4%
189,700
-17.4%
2.15%
-18.4%
AET SellAETNA INC NEW$31,354,000
+5.2%
457,121
-1.8%
2.10%
-5.3%
AGCO SellAGCO CORP$28,825,000
-4.2%
486,995
-2.2%
1.94%
-13.8%
PII SellPOLARIS INDS INC$28,548,000
+10.0%
196,018
-2.4%
1.92%
-0.9%
WFC SellWELLS FARGO & CO NEW$27,595,000
+7.9%
607,824
-1.8%
1.85%
-2.9%
LEA SellLEAR CORP$26,913,000
+10.3%
332,382
-2.5%
1.81%
-0.7%
DOV SellDOVER CORP$26,587,000
+5.4%
275,396
-1.9%
1.78%
-5.1%
ADS SellALLIANCE DATA SYSTEMS CORP$26,255,000
-7.2%
99,855
-25.3%
1.76%
-16.4%
CVS SellCVS CAREMARK CORPORATION$25,473,000
+24.4%
355,915
-1.4%
1.71%
+12.0%
UTHR SellUNITED THERAPEUTICS CORP$24,625,000
+9.3%
217,764
-23.8%
1.65%
-1.5%
TSM SellTAIWAN SEMICONDUCTOR MFG LTDsponsored adr$24,271,000
-0.3%
1,391,661
-3.0%
1.63%
-10.2%
AFL SellAFLAC INC$22,865,000
+5.3%
342,285
-2.3%
1.54%
-5.2%
ALL SellALLSTATE CORP$22,222,000
+6.1%
407,441
-1.6%
1.49%
-4.5%
SM SellSM ENERGY CO$22,048,000
+4.9%
265,281
-2.5%
1.48%
-5.5%
V SellVISA INC$20,845,000
+14.1%
93,609
-2.0%
1.40%
+2.7%
TMK SellTORCHMARK CORP$20,665,000
-17.1%
264,429
-23.2%
1.39%
-25.3%
NTES SellNETEASE INCsponsored adr$20,048,000
+6.2%
255,059
-1.9%
1.35%
-4.3%
WDC SellWESTERN DIGITAL CORP$19,416,000
+8.5%
231,418
-18.0%
1.30%
-2.3%
EV SellEATON VANCE CORP$18,778,000
-21.8%
438,835
-29.1%
1.26%
-29.6%
JAZZ SellJAZZ PHARMACEUTICAL PLC$18,190,000
-25.3%
143,729
-45.7%
1.22%
-32.8%
CPA SellCOPA HOLDINGS SAcl a$17,884,000
+13.4%
111,701
-1.8%
1.20%
+2.0%
STX SellSEAGATE TECHNOLOGY PLC$16,704,000
+25.3%
297,432
-2.4%
1.12%
+12.8%
MIDD SellMIDDLEBY CORP$16,583,000
+11.0%
69,103
-3.4%
1.11%
-0.1%
SNA SellSNAP ON INC$16,189,000
+7.2%
147,820
-2.6%
1.09%
-3.4%
CVX SellCHEVRON CORP NEW$15,814,000
-42.1%
126,600
-43.7%
1.06%
-47.9%
AME SellAMETEK INC NEW$15,500,000
-35.8%
294,293
-43.9%
1.04%
-42.3%
SNPS SellSYNOPSYS INC$13,948,000
-37.8%
343,789
-42.2%
0.94%
-44.0%
MET SellMETLIFE INC$13,092,000
+12.2%
242,808
-2.3%
0.88%
+1.0%
GA SellGIANT INTERACTIVE GROUP INCadr$11,690,000
+20.7%
1,040,053
-2.1%
0.78%
+8.7%
NUS SellNU SKIN ENTERPRISES INCcl a$11,249,000
-20.2%
81,388
-44.7%
0.76%
-28.2%
WETF SellWIDSOMTREE INVTS INC$11,214,000
+46.7%
633,203
-3.8%
0.75%
+32.1%
ENS SellENERSYS$11,032,000
+11.1%
157,398
-3.9%
0.74%0.0%
PL SellPROTECTIVE LIFE CORP$10,904,000
-0.2%
215,233
-16.1%
0.73%
-10.1%
DLX SellDELUXE CORP$9,094,000
+20.5%
174,245
-3.8%
0.61%
+8.5%
SYNA SellSYNAPTICS INC$8,971,000
+12.6%
173,146
-3.8%
0.60%
+1.3%
ARRS SellARRIS GROUP INC NEW$8,953,000
+37.2%
367,436
-3.9%
0.60%
+23.7%
PLXS SellPLEXUS CORP$8,842,000
+12.0%
204,244
-3.8%
0.59%
+0.7%
MENT SellMENTOR GRAPHICS CORP$8,546,000
-1.0%
355,059
-3.9%
0.57%
-10.9%
HUM SellHUMANA INCcl a$7,948,000
-70.7%
77,000
-73.5%
0.53%
-73.6%
TDY SellTELEDYNE TECHNOLOGIES INC$7,821,000
-11.3%
85,137
-18.0%
0.52%
-20.1%
NTAP SellNETAPP INC$7,627,000
-51.5%
185,381
-49.8%
0.51%
-56.4%
AFSI SellAMTRUST FINANCIAL SERVICES I$7,217,000
-19.5%
220,770
-3.9%
0.48%
-27.7%
NSR SellNEUSTAR INCcl a$6,952,000
-3.0%
139,427
-3.8%
0.47%
-12.7%
SYNT SellSYNTEL INC$6,727,000
+9.2%
73,961
-3.9%
0.45%
-1.7%
DORM ExitDORMAN PRODUCTS$0-4,058
-100.0%
-0.02%
TW ExitTOWERS WATSON & COcl a$0-1,973
-100.0%
-0.02%
PFE ExitPFIZER$0-211,000
-100.0%
-0.45%
CNHI ExitCNH INDUSTRIAL$0-485,390
-100.0%
-0.45%
AIT ExitAPPLIED IND TECHS$0-147,929
-100.0%
-0.57%
FOXA ExitTWENTY-FIRST CENTURY-A WIcl a$0-238,400
-100.0%
-0.60%
LLY ExitELI LILLY$0-171,427
-100.0%
-0.64%
LNN ExitLINDSAY MANUFACTURING$0-107,700
-100.0%
-0.66%
SWM ExitSCHWEITZER-MAUDUIT INTL$0-156,400
-100.0%
-0.71%
TRMB ExitTRIMBLE NAVIGATION$0-409,500
-100.0%
-0.91%
FLIR ExitFLIR SYSTEMS$0-419,652
-100.0%
-0.98%
COO ExitCOOPER COMPANIES$0-108,350
-100.0%
-1.05%
TGI ExitTRIUMPH GROUP$0-207,200
-100.0%
-1.08%
ROP ExitROPER INDS NEW$0-114,961
-100.0%
-1.14%
CSCO ExitCISCO SYSTEMS$0-775,930
-100.0%
-1.36%
Original filings

The following EDGAR filing(s) were analyzed to create this report:

  • View 13F-HR filed 2014-02-12
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
TAIWAN SEMICON SP ADR42Q3 202334.8%
APPLE INC33Q2 20214.1%
ALIBABA GROUP HLDG LTD31Q3 202338.1%
JP MORGAN CHASE & CO29Q2 20213.0%
JOHNSON & JOHNSON29Q2 20212.4%
NETEASE INC ADR28Q2 202113.3%
VISA INC28Q2 20202.1%
COMCAST CORP NEW28Q2 20211.9%
SYNOPSYS INC25Q1 20211.9%
INFOSYS LTD ADR24Q1 202348.4%

View Origin Asset Management LLP's complete holdings history.

Latest filings
TypeFiled
13F-HR2024-04-23
13F-HR2024-02-06
13F-HR2023-11-02
13F-HR2023-08-01
13F-HR2023-05-12
13F-HR2023-02-10
13F-HR2022-11-14
13F-HR2022-08-11
13F-HR2022-05-24
13F-HR2022-02-08

View Origin Asset Management LLP's complete filings history.

Compare quarters

Export Origin Asset Management LLP's holdings