
WINTON CAPITAL MANAGEMENT LTD
Latest 13F filing data - Q1 2014
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | PPL | 187K | $6.21M |
![]() | QCOM | 187K | $14.71M |
![]() | CRI | 180K | $13.95M |
![]() | PPG | 178K | $34.49M |
![]() | WAT | 175K | $18.96M |
![]() | XYL | 174K | $6.34M |
![]() | COO | 172K | $23.66M |
![]() | CF | 168K | $43.71M |
![]() | ACN | 166K | $13.27M |
![]() | TSCO | 166K | $11.74M |
![]() | AMCX | 165K | $12.03M |
![]() | NSC | 162K | $15.75M |
![]() | DD | 159K | $10.70M |
![]() | PCAR | 154K | $10.41M |
![]() | BEN | 153K | $8.27M |
![]() | NTRS | 150K | $9.83M |
![]() | MAR | 149K | $8.34M |
![]() | WHR | 148K | $22.10M |
![]() | AN | 147K | $7.82M |
![]() | HP | 146K | $15.69M |

PPL Corporation
PPL
Shares Held
187K
Value
$6.21M

QUALCOMM Incorporated
QCOM
Shares Held
187K
Value
$14.71M

Carter's, Inc.
CRI
Shares Held
180K
Value
$13.95M

PPG Industries, Inc.
PPG
Shares Held
178K
Value
$34.49M

Waters Corporation
WAT
Shares Held
175K
Value
$18.96M

Xylem Inc.
XYL
Shares Held
174K
Value
$6.34M

The Cooper Companies, Inc.
COO
Shares Held
172K
Value
$23.66M

CF Industries Holdings, Inc.
CF
Shares Held
168K
Value
$43.71M

Accenture plc
ACN
Shares Held
166K
Value
$13.27M

Tractor Supply Company
TSCO
Shares Held
166K
Value
$11.74M

AMC Networks Inc.
AMCX
Shares Held
165K
Value
$12.03M

Norfolk Southern Corporation
NSC
Shares Held
162K
Value
$15.75M

DuPont de Nemours, Inc.
DD
Shares Held
159K
Value
$10.70M

PACCAR Inc
PCAR
Shares Held
154K
Value
$10.41M

Franklin Resources, Inc.
BEN
Shares Held
153K
Value
$8.27M

Northern Trust Corporation
NTRS
Shares Held
150K
Value
$9.83M

Marriott International, Inc.
MAR
Shares Held
149K
Value
$8.34M

Whirlpool Corporation
WHR
Shares Held
148K
Value
$22.10M

AutoNation, Inc.
AN
Shares Held
147K
Value
$7.82M

Helmerich & Payne, Inc.
HP
Shares Held
146K
Value
$15.69M
