Holdings Channel
Size ($ in 1000's)
At 06/30/2020: $5,962,118
At 03/31/2020: $4,902,342

Combined Holding Report Includes:
COMGEST GLOBAL INVESTORS S.A.S.
COMGEST S.A.
Comgest Asset Management International Ltd
Comgest Far East Ltd

Comgest Global Investors S.A.S. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Comgest Global Investors S.A.S. 13F filings. Link to 13F filings: SEC filings

Comgest Global Investors S.A.S. Top Holdings
As of  06/30/2020

   EntityAmountChange
 03/31/2020 to 06/30/2020
Position Size
($ in 1000's)
NETEASE INC 1,747,159 -143,566 $750,195
     NTES1,747,159-143,566$750,195
ALIBABA GROUP HLDG LTD 3,152,125 +1,075,955 $679,913
     BABA3,152,125+1,075,955$679,913
AUTOHOME INC 5,485,450 +683,313 $414,152
     ATHM5,485,450+683,313$414,152
COGNIZANT TECHNOLOGY SOLUTIO 6,693,325 -1,023,164 $380,315
     CTSH6,693,325-1,023,164$380,315
MICROSOFT CORP 1,604,043 +65,859 $326,439
     MSFT1,604,043+65,859$326,439
ICON PLC 1,898,110 +1,789 $319,756
     ICLR1,898,110+1,789$319,756
ACCENTURE PLC IRELAND 1,433,357 +150,004 $307,770
     ACN1,433,357+150,004$307,770
TAIWAN SEMICONDUCTOR MFG LTD 4,344,408 +1,101,168 $246,632
     TSM4,344,408+1,101,168$246,632
VISA INC 1,261,392 +162,582 $243,663
     V1,261,392+162,582$243,663
BECTON DICKINSON & CO 967,901 -10,291 $231,589
     BDX967,901-10,291$231,589
LILLY ELI & CO 1,274,261 -98,095 $209,208
     LLY1,274,261-98,095$209,208
MEDTRONIC PLC 2,196,612 -446,058 $201,430
     MDT2,196,612-446,058$201,430
FOMENTO ECONOMICO MEXICANO S 3,153,378 -537,420 $195,541
     FMX3,153,378-537,420$195,541
JOHNSON & JOHNSON 1,340,534 -48,422 $188,519
     JNJ1,340,534-48,422$188,519
WALMART INC 1,571,542 +71,991 $188,239
     WMT1,571,542+71,991$188,239
ALPHABET INC 119,579 +7,088 $169,569
     GOOGL119,579+7,088$169,569
FACEBOOK INC 743,227 +34,461 $168,765
     FB743,227+34,461$168,765
INTUIT 499,643 +25,706 $147,989
     INTU499,643+25,706$147,989
INFOSYS LTD 15,169,755 -506,344 $146,540
     INFY15,169,755-506,344$146,540
ECOLAB INC 602,205 -116,426 $119,809
     ECL602,205-116,426$119,809
CHURCH & DWIGHT INC 923,274 +30,162 $71,369
     CHD923,274+30,162$71,369
ACTIVISION BLIZZARD INC 329,987 +208,917 $25,046
     ATVI329,987+208,917$25,046
APPLE INC 43,324 -1,648 $15,805
     AAPL43,324-1,648$15,805
HDFC BANK LTD 346,708 +244,782 $15,761
     HDB346,708+244,782$15,761
ORACLE CORP 265,900 -1,071,888 $14,696
     ORCL265,900-1,071,888$14,696
COMCAST CORP NEW 363,252 +43,000 $14,160
     CMCSA363,252+43,000$14,160
COSTCO WHSL CORP NEW 44,459 +977 $13,480
     COST44,459+977$13,480
CISCO SYS INC 256,509 -263,554 $11,964
     CSCO256,509-263,554$11,964
AMAZON COM INC 4,290 UNCH $11,835
     AMZN4,290UNCH$11,835
RYANAIR HOLDINGS PLC 172,800 +11,310 $11,464
     RYAAY172,800+11,310$11,464
NOAH HLDGS LTD 408,063 +12,027 $10,393
     NOAH408,063+12,027$10,393
BIOMARIN PHARMACEUTICAL INC 81,716 -2,200 $10,078
     BMRN81,716-2,200$10,078
58 COM INC 186,402 -559,957 $10,055
     WUBA186,402-559,957$10,055
ANALOG DEVICES INC 73,426 +18,900 $9,005
     ADI73,426+18,900$9,005
VERISK ANALYTICS INC 48,654 UNCH $8,281
     VRSK48,654UNCH$8,281
CMS ENERGY CORP 141,282 -20,000 $8,253
     CMS141,282-20,000$8,253
LAUDER ESTEE COS INC 43,200 +36,200 $8,151
     EL43,200+36,200$8,151
AVERY DENNISON CORP 68,469 +4,900 $7,811
     AVY68,469+4,900$7,811
TRIP COM GROUP LTD 237,897 +237,897 $6,166
     TCOM237,897+237,897$6,166
WEIBO CORP 172,174 UNCH $5,785
     WB172,174UNCH$5,785
OMNICOM GROUP INC 95,600 +57,100 $5,220
     OMC95,600+57,100$5,220
PAYCHEX INC 61,042 +13,217 $4,624
     PAYX61,042+13,217$4,624
ULTA BEAUTY INC 22,620 +10,600 $4,602
     ULTA22,620+10,600$4,602
TYLER TECHNOLOGIES INC 11,750 -21,699 $4,076
     TYL11,750-21,699$4,076
ARAMARK 134,361 +30,000 $3,032
     ARMK134,361+30,000$3,032
PAGSEGURO DIGITAL LTD 77,141 -23,313 $2,726
     PAGS77,141-23,313$2,726
OTIS WORLDWIDE CORP 45,000 +45,000 $2,559
     OTIS45,000+45,000$2,559
MERCADOLIBRE INC 2,449 -496 $2,414
     MELI2,449-496$2,414
YANDEX N V 28,462 +866 $1,424
     YNDX28,462+866$1,424
MARRIOTT INTL INC NEW 15,000 +2,000 $1,286
     MAR15,000+2,000$1,286

See Full List: All Stocks Held By Comgest Global Investors S.A.S.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Comgest Global Investors S.A.S.

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