
WCM INVESTMENT MANAGEMENT, LLC
Latest 13F filing data - Q3 2025
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | FTAI | 322K | $52.50M |
![]() | BRCB | 311K | $7.42M |
![]() | EVO | 300K | $1.06M |
![]() | RMBS | 299K | $31.08M |
![]() | WAL | 290K | $25.27M |
![]() | RARE | 288K | $8.75M |
![]() | BHVN | 288K | $4.22M |
![]() | RDNT | 286K | $21.35M |
![]() | AAON | 281K | $25.74M |
![]() | CBZ | 279K | $15.01M |
![]() | WH | 269K | $21.79M |
![]() | TTAN | 264K | $27.15M |
![]() | BBIO | 261K | $13.56M |
![]() | CRMT | 259K | $7.62M |
![]() | POWI | 259K | $10.18M |
![]() | BAP | 257K | $68.87M |
![]() | RVMD | 253K | $11.67M |
![]() | SBS | 251K | $6.15M |
![]() | TEVA | 250K | $4.80M |
![]() | HQY | 248K | $23.68M |

FTAI Aviation Ltd.
FTAI
Shares Held
322K
Value
$52.50M

Black Rock Coffee Bar, Inc. Class A Common Stock
BRCB
Shares Held
311K
Value
$7.42M

Evotec SE
EVO
Shares Held
300K
Value
$1.06M

Rambus Inc.
RMBS
Shares Held
299K
Value
$31.08M

Western Alliance Bancorporation
WAL
Shares Held
290K
Value
$25.27M

Ultragenyx Pharmaceutical Inc.
RARE
Shares Held
288K
Value
$8.75M

Biohaven Ltd.
BHVN
Shares Held
288K
Value
$4.22M

RadNet, Inc.
RDNT
Shares Held
286K
Value
$21.35M

AAON, Inc.
AAON
Shares Held
281K
Value
$25.74M

CBIZ, Inc.
CBZ
Shares Held
279K
Value
$15.01M

Wyndham Hotels & Resorts, Inc.
WH
Shares Held
269K
Value
$21.79M

ServiceTitan, Inc.
TTAN
Shares Held
264K
Value
$27.15M

BridgeBio Pharma, Inc.
BBIO
Shares Held
261K
Value
$13.56M

America's Car-Mart, Inc.
CRMT
Shares Held
259K
Value
$7.62M

Power Integrations, Inc.
POWI
Shares Held
259K
Value
$10.18M

Credicorp Ltd.
BAP
Shares Held
257K
Value
$68.87M

Revolution Medicines, Inc.
RVMD
Shares Held
253K
Value
$11.67M

Companhia de Saneamento Básico do Estado de São Paulo - SABESP
SBS
Shares Held
251K
Value
$6.15M

Teva Pharmaceutical Industries Limited
TEVA
Shares Held
250K
Value
$4.80M

HealthEquity, Inc.
HQY
Shares Held
248K
Value
$23.68M
