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Manning & Napier Group — Investment Management Firm — portfolio photo

Manning & Napier Group
Portfolio: Top Holdings & Stock Picks

Manning & Napier Advisors LLC

Manning & Napier Group (Manning & Napier Advisors LLC) disclosed 615 total holdings in its latest 13F filing dated 03/31/2026, with a portfolio value of $7.09 B and a turnover rate of 16.8%.

Portfolio Value
$7.09 B
Total Holdings
615
Latest Filing
Q1 2026
April 30, 2026
Turnover Rate
16.82%

Manning & Napier Group Top Holdings of Q1 2026

Manning & Napier Group Top Holdings of Q1 2026
Ticker Name Shares Value % of Portfolio Time Held % Change
2.16 M $376.69 M 5.31% 2 Years +9.81%
945,896 $350.14 M 4.94% >10 Years +31.15%
1.27 M $264.4 M 3.73% 10 Years -0.56%
TSM
736,382 $248.86 M 3.51% 5.2 Years -11.07%
MA
457,236 $228.46 M 3.22% >10 Years +8.93%
367,335 $210.16 M 2.96% 6.8 Years +28.51%
676,946 $194.66 M 2.74% >10 Years -6.51%
V
639,378 $193.25 M 2.72% >10 Years +22.09%
UPS
1.85 M $182.29 M 2.57% 0.25 Years +1.47%
NU
10.67 M $153.29 M 2.16% 0.75 Years -6.26%

Recent Moves

Significant New Position
+211,906 Shares | +$102.76 M Value
Continues to build a major stake in the Communication Services sector
Q1 2026
Added to Core Holding
+224,651 Shares | +$83.16 M Value
Largest position increase in Technology sector
Q1 2026
Reduced Exposure to Position
-1.07 M Shares | -$192.84 M Value
Significant reduction in holdings of Materials
Q1 2026
Complete Exit
-770,712 Shares | -$142.6 M Value
Cleared AZN, sector remains in portfolio
Q1 2026

Manning & Napier Group's Historical Top Holdings Overview

Portfolio Date:

Manning & Napier Group Top Stock Picks

Ticker Name Date Activity Shares Shares Change Value Change
ALB
03/31/2026 Reduce -98.7% 14,387 -1.07 M $192.84 M
SQM
03/31/2026 Reduce -99.0% 22,711 -2.19 M $176.97 M
LHX
03/31/2026 Reduce -95.3% 20,969 -423,368 $146.13 M
AZN
03/31/2026 Sold Out 0 -770,712 $142.6 M
03/31/2026 New Buy 211,906 211,906 $102.76 M
WY
03/31/2026 New Buy 4.17 M 4.17 M $101.97 M
03/31/2026 Reduce -48.4% 220,589 -207,014 $92.44 M
03/31/2026 Add 31.2% 945,896 224,651 $83.16 M
GPK
03/31/2026 Add 6288.6% 8.48 M 8.35 M $82.99 M
GSK
03/31/2026 Reduce -85.7% 235,477 -1.41 M $78.08 M

Manning & Napier Group's Portfolio Sector Breakdown

Portfolio Date:

About Manning & Napier Group

Manning & Napier, Inc. is an independent investment management firm founded in 1970. Headquartered in Rochester, New York, the firm provides a broad range of investment solutions to institutional and individual clients. They are known for their active, research-driven approach and their use of proprietary, team-managed strategies that adapt to changing market conditions.

Frequently Asked Questions

As of 03/31/2026, Manning & Napier Group holds 614 stocks. Top positions include NVDA, MSFT, AMZN, TSM, MA. For full portfolio details, please visit Manning & Napier Group’s portfolio.

In Q1 2026, Manning & Napier Group’s largest purchase by dollar amount was SPOT. For complete transaction details, please visit Manning & Napier Group’s portfolio.

According to the 13F filing for Q1 2026, Manning & Napier Group increased their stake in MSFT.

Manning & Napier Group's firm may occasionally request confidential treatment under SEC rule 13F-HR, which allows temporary non-disclosure of certain positions.