
WINTON CAPITAL MANAGEMENT LTD
Latest 13F filing data - Q1 2014
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | TER | 466K | $9.28M |
![]() | MS | 461K | $14.37M |
![]() | CMS | 457K | $13.37M |
![]() | INGR | 445K | $30.27M |
![]() | MRK | 431K | $24.46M |
![]() | XRAY | 429K | $19.77M |
![]() | BWA | 421K | $25.90M |
![]() | SNA | 418K | $47.48M |
![]() | SNDK | 412K | $33.42M |
![]() | A | 405K | $22.67M |
![]() | LB | 403K | $22.87M |
![]() | MCO | 399K | $31.65M |
![]() | UHS | 392K | $32.15M |
![]() | FLS | 391K | $30.66M |
![]() | ADI | 390K | $20.70M |
![]() | MTB | 377K | $45.69M |
![]() | CME | 373K | $27.61M |
![]() | IVZ | 373K | $13.79M |
![]() | IR | 372K | $21.32M |
![]() | AXP | 371K | $33.40M |

Teradyne, Inc.
TER
Shares Held
466K
Value
$9.28M

Morgan Stanley
MS
Shares Held
461K
Value
$14.37M

CMS Energy Corporation
CMS
Shares Held
457K
Value
$13.37M

Ingredion Incorporated
INGR
Shares Held
445K
Value
$30.27M

Merck & Co., Inc.
MRK
Shares Held
431K
Value
$24.46M

DENTSPLY SIRONA Inc.
XRAY
Shares Held
429K
Value
$19.77M

BorgWarner Inc.
BWA
Shares Held
421K
Value
$25.90M

Snap-on Incorporated
SNA
Shares Held
418K
Value
$47.48M

Sandisk Corporation
SNDK
Shares Held
412K
Value
$33.42M

Agilent Technologies, Inc.
A
Shares Held
405K
Value
$22.67M

LandBridge Company LLC
LB
Shares Held
403K
Value
$22.87M

Moody's Corporation
MCO
Shares Held
399K
Value
$31.65M

Universal Health Services, Inc.
UHS
Shares Held
392K
Value
$32.15M

Flowserve Corporation
FLS
Shares Held
391K
Value
$30.66M

Analog Devices, Inc.
ADI
Shares Held
390K
Value
$20.70M

M&T Bank Corporation
MTB
Shares Held
377K
Value
$45.69M

CME Group Inc.
CME
Shares Held
373K
Value
$27.61M

Invesco Ltd.
IVZ
Shares Held
373K
Value
$13.79M

Ingersoll Rand Inc.
IR
Shares Held
372K
Value
$21.32M

American Express Company
AXP
Shares Held
371K
Value
$33.40M
