Waddell & Reed Investment Management Co

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Waddell & Reed Investment Management Co
CRD #106343
SEC #801-40372
CIK #0000903764, 0001052100
AUM
Employees 143 (60% Investors, 13% Brokers)
Fees
Minimum
Phone913-236-2000
Address6300 Lamar Ave
Overland Park, KS 66202
Source [IAPD] [EDGAR] [Website] [LinkedIn]
Total AUM ($B)
604836241202001200920172025
Fees and Compensation — Form ADV Part 2A (3/29/2018) [Brochure]
ITEM 5: FEES AND COMPENSATION
WRIMCO generally charges clients asset-based investment management fees for the investment advisory
services it provides. WRIMCO’s fee schedules vary from product to product based on a variety of
factors, including but not limited to the portfolio manager, strategy, investment vehicle, degree of
servicing required, market-place conditions and other factors WRIMCO deems relevant. The fees
applicable to each Pooled Account managed by WRIMCO are outlined in each Pooled Accounts offering
documents. In addition, WRIMCO’s current institutional fee schedule ranges from 40-85 bps on an
annual basis for domestic equity investment strategies, 65-85 bps for global and international equity
alternative strategies and 20-55 bps for fixed-income and balanced strategies. WRIMCO may also
receive a performance allocation or performance fee from certain client accounts based on the
performance achieved by an account, provided the client is a “Qualified Client” as defined under the
Advisers Act. See Item 6 – “Performance-Based Fees and Side-by-Side Management” for more
information about performance based fees.

WRIMCO’s investment management fees are typically calculated as a percentage of the market value of
an account’s assets under management in accordance with its contractual agreements. Fee breakpoints
are available for certain strategies and product types. In certain instances, WRIMCO calculates the fee
rate applicable to a client based on the assets held across multiple accounts managed by WRIMCO for the
client. Clients that became WRIMCO clients prior to the date of this brochure may have different fee
arrangements from those described above. Each such fee arrangement is outlined in either the applicable
offering documents or investment management agreement entered into between WRIMCO and the client.

WRIMCO may, in its sole discretion, charge lower management fees or waive account minimums based
on certain criteria including product type, investment strategy, client type, client domicile, services
provided, the client’s historical relationship with the firm, number of related investment accounts, account
composition or size, anticipated future earning capacity, current and anticipated future assets under
management, marketplace considerations, early adoption of an investment strategy or investment in a
particular vehicle, client’s operational or investment limitations or restrictions and other factors
WRIMCO deems relevant. In appropriate circumstances, WRIMCO may waive or reduce all or a portion
of the fees charged to particular clients in its sole and absolute discretion. Fees may be waived or reduced
for accounts held by or on behalf of WRIMCO and its employees, principals, shareholders or affiliates.
WRIMCO may also enter into “side letter” agreements with certain Investors in Private Funds to provide
different or more favorable terms to these Investors than described in a Private Fund’s offering
documents. These terms may include waived or reduced management fees. Assets from related accounts
in similar Pooled Accounts may be aggregated for fee calculation purposes.

WRIMCO is limited in its ability to negotiate fees, in part, due to historic client contracts, which
generally require WRIMCO to charge the same fee schedule to similarly-situated clients. WRIMCO
generally considers separately managed account clients to be similarly-situated if they are domiciled in
the same country, are invested in the same investment vehicle managed as a component of the same
investment strategy, are of the same client type and have a similar account size, among other factors.

Fee Billing
As a general matter, advisory fees for clients other than Third-party U.S. Mutual Funds are billed
quarterly, in arrears. Sub-advisory fees for Third-party U.S. Mutual Funds are calculated daily, but
generally paid monthly. Invoices for advisory fees are payable upon receipt. Fees are ordinarily based on
the level of total assets under management within the relevant account(s), including allocations to cash,
on the appropriate valuation day.

Fee calculation methods are dictated by the client’s investment management agreement and/or the
relevant offering documents. Most commonly, the quarterly fee is calculated by applying the annual fee
rate to the average assets and dividing by four. The average value of assets for each quarter is generally
determined by adding the market value of the assets, as determined by WRIMCO in accordance with
commercially reasonable practices, at the beginning of the first day of the quarter and the market value of
the assets at the end of the last day of each month during the quarter and dividing by four. Calculations
are based on market value, which includes realized and unrealized gains and losses. Upon agreement,
aggregated assets of all clients managed by WRIMCO may be used to determine any fee breakpoints.
Fees will then be applied on a pro-rata basis to the various client accounts. If assets are managed for a
partial quarter, the fee is prorated.

If a client requests that WRIMCO automatically deduct investment management fees from its account(s),
WRIMCO will bill the client’s custodian directly.

Other Fees
The advisory fees described above do not include brokerage commissions, transaction fees and other
related costs and expenses which shall be incurred by the client. Clients incur certain charges imposed by
third parties such as custodial fees and mutual fund fee expenses. Clients incur brokerage commissions
and other execution costs charged by the custodian or executing broker-dealer in connection with
transactions for client accounts. Please see Item 12 – “Brokerage Practices” in this Brochure for
additional important information about the brokerage and transaction practices of WRIMCO.

Except as otherwise agreed in the relevant investment management agreement, each account bears (and
...
Account Minimums and Types of Clients — Form ADV Part 2A (3/29/2018) [Brochure]
ITEM 7: TYPES OF CLIENTS

Description
WRIMCO provides or may provide investment management services for a variety of clients, including:

    •   Open-end mutual funds;
    •   Public and private institutional clients, including government entities, pension plans, Taft-Hartley
        plans, corporations, charitable organizations (foundations, endowments, etc.) and insurance
        companies;
    •   High net worth individuals;
    •   Third-party U.S. open-end mutual funds;
    •   UCITS (Undertakings for Collective Investments in Transferable Securities); and
    •   Private funds in the form of privately placed commingled or pooled investment vehicles
        organized as U.S. limited liability companies.

To help the U.S. government fight the funding of terrorism and money laundering activities, WRIMCO
seeks to obtain, verify, and record information that identifies each client who retains WRIMCO to
manage its account or who invests in a fund managed by WRIMCO. In this regard, when a client or
investor seeks to open an account, WRIMCO may ask for the name, address, tax/employer identification
number (or any other registration number issued in the jurisdiction of location or incorporation) and other
reasonably required information that will allow WRIMCO to identify the client. WRIMCO may ask for
information and documentation regarding source of funds to be invested. WRIMCO also reserves the
right to ask for more information regarding the individuals who are beneficial owners of, or exercise
control over, the client account. WRIMCO may ask for the names of such beneficial owners and may
also ask for addresses, dates of birth, and other information that will allow WRIMCO to identify such
beneficial owners. WRIMCO may also request such other information as may be necessary to comply
with applicable law. Furthermore, WRIMCO may verify any of the aforementioned information using
third-party sources and may share that information as required by applicable law or in connection with the
execution of trades on behalf of that client or investor. In certain circumstances, WRIMCO may rely on
its client’s or investor’s broker-dealer, administrator, transfer agent, custodian or placement agent to
obtain, verify and record the required information.

Account Minimums
For new accounts, WRIMCO generally requires the following account minimums:

                            ACCOUNT                         ASSET MINIMUM
                            EQUITY
                             Core                                 $15 Million
                             Small Cap Growth                     $20 Million
                             Mid Cap Growth                       $20 Million
                             Large Cap Growth                     $20 Million
                             Large Cap Value                      $10 Million
                             International Core                   $20 Million
                             Global Growth                        $20 Million
                             Energy                               $20 Million

                            BALANCED                              $15 Million

                            FIXED-INCOME
                              Core                                  $3 Million
                              Core Intermediate                     $3 Million

                             GLOBAL TACTICAL
                             ASSET ALLOCATION
                               Asset Strategy                      $25 Million

WRIMCO may consider accounts below the minimum assets shown under certain circumstances.
Sector Form 13F Holdings Value ($B)
Microsoft Corp 2.6
Apple Inc 1.7
Amazon Com Inc 1.4
Facebook Inc 1.1
Alphabet Inc 1.0
Micron Technology Inc 0.8
Pangaea Logistics Solutions Ltd 0.6
ASML Holding NV 0.5
Electronic Arts Inc 0.5
UnitedHealth Group Inc 0.5
View All
Holdings by Sector ($B)
806448321602013201620192022
Type Form D Funds Date Sold AUM
Other Waddell & Reed Asset Strategy Fund LLC [2012-03-30] 30.2 M 2.6 M
Filed 2016-11-16 (D/A) · Exemption 506(b), 3(c), 3(c)(7) · Remaining Indefinite · Duration More than one year · Commission $72,216 · Net Assets Decline to Disclose
Other Waddell & Reed Large Company Growth Fund LLC 2012-03-30 9.8 M
AUM Breakdown Accounts AUM ($B)
By Client Type
(a) Individuals (other than high net worth individuals) 0 0.0
(b) Individuals (high net worth individuals) 0 0.1
(c) Banking or thrift institutions 0 0.0
(d) Investment companies 13 15.9
(e) Business development companies 0 0.0
(f) Pooled investment vehicles 2 0.2
(g) Pension and profit sharing plans 23 1.9
(h) Charitable organizations 0 0.1
(i) State or municipal government entities 8 1.0
(j) Other investment advisers 0 0.0
(k) Insurance companies 0 0.1
(l) Sovereign wealth funds and foreign official institutions 0 0.0
(m) Corporations or other businesses not listed above 0 0.0
(n) Other 0 0.0
Total 54 19.2
By Discretionary
Discretionary 54 19.2
Non-Discretionary 0 0.0
Total 54 19.2
By Non-United States Persons
Non-United States Persons 0.2
United States Persons 19.0
Total 54 19.2
Form D Directors Role # Filings # Firms 2011 - 2026
Brian Sullivan Executive Officer 89 5
Nikki Newton Executive Officer 4 3
Cynthia Lagree Executive Officer 3 3
Lawrence Cipolla Executive Officer 3 3
Jennifer Askins Executive Officer 3 3
Philip Sanders Executive Officer 3 3
Jon-Jason Richie Executive Officer 3 3
John Sundeen Executive Officer 3 3
Adlynn Harte Executive Officer 3 3
Kurt Sundeen Executive Officer 3 3
View All
EDGAR Form CIK 2011 - 2026
13F-NT [0000903764]
3 [0000903764]
4 [0000903764]
10-K [0001052100]
10-Q [0001052100]
13F-HR [0001052100]
3 [0001052100]
4 [0001052100]
5 [0001052100]
8-K [0001052100]
SC 13D [0001052100]
SC 13G [0001052100]
Form 13D/13G Filer Form 13D/13G Subject Filed
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Waddell & Reed Financial Inc Sientra Inc [2019-02-14]
Waddell & Reed Financial Inc Studio City International Holdings Ltd [2019-02-14]
Waddell & Reed Financial Inc Semtech Corp [2019-02-14]
FMR LLC Waddell & Reed Financial Inc [2019-02-13]
Waddell & Reed Financial Inc Marrone Bio Innovations Inc [2018-02-15]
Waddell & Reed Financial Inc Invacare Corp [2018-02-14]
Waddell & Reed Financial Inc Switch Inc [2018-02-14]
Waddell & Reed Financial Inc Tactile Systems Technology Inc [2018-02-14]
Waddell & Reed Financial Inc Laureate Education Inc [2017-09-08]
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Waddell & Reed Financial Inc RE/MAX Holdings Inc [2017-02-14]
Waddell & Reed Financial Inc K2M Group Holdings Inc [2017-02-14]
Waddell & Reed Financial Inc Nautilus Inc [2017-02-14]
Price T Rowe Associates Inc /MD/ Waddell & Reed Financial Inc [2016-02-12]
Waddell & Reed Financial Inc VTTI Energy Partners LP [2016-02-12]
Waddell & Reed Financial Inc Virtusa Corp [2016-02-12]
Waddell & Reed Financial Inc Tenet Healthcare Corp [2016-02-12]
Waddell & Reed Financial Inc Abengoa Yield PLC [2016-02-12]
Waddell & Reed Financial Inc Globant Sa [2016-02-12]
Waddell & Reed Financial Inc PTC Therapeutics Inc [2016-02-12]
First Trust Portfolios LP Waddell & Reed Financial Inc [2016-02-04]
Waddell & Reed Financial Inc Arcadia Biosciences Inc [2015-07-10]
Waddell & Reed Financial Inc Ruckus Wireless Inc [2015-02-13]
Waddell & Reed Financial Inc PRA Health Sciences Inc [2015-02-13]
Waddell & Reed Financial Inc Rush Enterprises Inc TX [2015-02-13]
Waddell & Reed Financial Inc Townsquare Media Inc [2015-02-13]
Waddell & Reed Financial Inc Abengoa Sa [2015-02-13]
Waddell & Reed Financial Inc Applied Materials Inc /DE [2015-02-13]
Waddell & Reed Financial Inc Cardiovascular Systems Inc [2015-02-13]
Waddell & Reed Financial Inc Semtech Corp [2015-02-13]
Waddell & Reed Financial Inc Evertec Inc [2015-02-13]
Waddell & Reed Financial Inc Moelis & Co [2015-02-13]
Waddell & Reed Financial Inc Advanced Drainage Systems Inc [2015-02-13]
Waddell & Reed Financial Inc Stage Stores Inc [2014-02-07]
Waddell & Reed Financial Inc Microsemi Corp [2014-02-07]
Waddell & Reed Financial Inc Pentair Ltd [2014-02-07]
Waddell & Reed Financial Inc QTS Realty Trust Inc [2014-02-07]
Waddell & Reed Financial Inc Evogene Ltd [2014-02-07]
Waddell & Reed Financial Inc EPAM Systems Inc [2014-02-07]
Waddell & Reed Financial Inc CREE Inc [2014-02-07]
Waddell & Reed Financial Inc Rambus Inc [2014-02-07]
Waddell & Reed Financial Inc JGWPT Holdings Inc [2014-02-07]
Waddell & Reed Financial Inc Fusion-Io Inc [2014-02-07]
Waddell & Reed Financial Inc Premier Inc [2014-02-07]
Waddell & Reed Financial Inc Cypress Semiconductor Corp /DE/ [2014-02-07]
Waddell & Reed Financial Inc Coty Inc [2014-02-07]
Waddell & Reed Financial Inc WebMD Health Corp [2014-02-07]
Waddell & Reed Financial Inc Matrix Service Co [2014-02-07]
Waddell & Reed Financial Inc Universal Display Corp PA [2014-02-07]
Waddell & Reed Financial Inc Plains GP Holdings LP [2014-02-07]
Waddell & Reed Financial Inc Kythera Biopharmaceuticals Inc [2014-02-07]
Waddell & Reed Financial Inc Marrone Bio Innovations Inc [2014-02-07]
Waddell & Reed Financial Inc Graham Corp [2014-02-07]
Waddell & Reed Financial Inc Luxoft Holding Inc [2013-12-10]
Waddell & Reed Financial Inc Silver Spring Networks Inc [2013-12-10]
Waddell & Reed Financial Inc Harman International Industries Inc /DE/ [2013-09-10]
Waddell & Reed Financial Inc Bioamber Inc [2013-07-10]
Waddell & Reed Financial Inc QIWI [2013-07-10]
Waddell & Reed Financial Inc Igate Corp [2013-06-10]
Waddell & Reed Financial Inc Carlyle Group LP [2013-03-08]
Vanguard Group Inc Waddell & Reed Financial Inc [2013-02-12]
Waddell & Reed Financial Inc Pall Corp [2013-02-07]
Waddell & Reed Financial Inc Spreadtrum Communications Inc [2013-02-07]
Waddell & Reed Financial Inc WNS Holdings Ltd [2013-02-07]
Waddell & Reed Financial Inc OpenTable Inc [2013-02-07]
Waddell & Reed Financial Inc Nanometrics Inc [2013-02-07]
Waddell & Reed Financial Inc Polypore International Inc [2013-02-07]
BlackRock Inc Waddell & Reed Financial Inc [2013-01-30]
Waddell & Reed Financial Inc Dice Holdings Inc [2012-02-14]
Waddell & Reed Financial Inc ZOLL Medical Corp [2012-02-14]
FMR LLC Waddell & Reed Financial Inc [2012-02-14]
Waddell & Reed Financial Inc Acxiom Corp [2012-02-14]
Waddell & Reed Financial Inc Blackstone Group LP [2012-02-14]
Waddell & Reed Financial Inc Boston Beer Co Inc [2012-02-14]
Waddell & Reed Financial Inc CBS Corp [2012-02-14]
Waddell & Reed Financial Inc Cognizant Technology Solutions Corp [2012-02-14]
Waddell & Reed Financial Inc Cyberonics Inc [2012-02-14]
Waddell & Reed Financial Inc Dexcom Inc [2012-02-14]
Waddell & Reed Financial Inc Dril-Quip Inc [2012-02-14]
Waddell & Reed Financial Inc KKR & Co LP [2012-02-14]
Waddell & Reed Financial Inc OSI Systems Inc [2012-02-14]
Waddell & Reed Financial Inc Safeguard Scientifics Inc [2012-02-14]
Waddell & Reed Financial Inc Skullcandy Inc [2012-02-14]
Waddell & Reed Financial Inc Vocus Inc [2012-02-14]
Firm Profile (Form ADV)
Discretionary AUM$48.8B
Clients1 (2 non-US)
ServesInstitutional
Fund TypesPrivate Equity
LEI549300182P8VMSX6J380
Form 3/4/5 Subject 2011 - 2026
Waddell & Reed Financial Inc
Andrade Kathie J
Daley Michael John
Buyle Mark P
Clouse Benjamin R
Gasaway Sharilyn S
Godlasky Thomas C
Hanson Daniel P
Bloss Brent K
Jessee James A
View All
Insider Transaction (Form 3/4/5) Date Action Shares Price Value ($)
Waddell & Reed Financial Inc WDR
Restricted Stock Units · derivative
2021-04-30 Disposed to issuer 4,937
Waddell & Reed Financial Inc WDR
Restricted Stock Units · derivative
2021-04-30 Disposed to issuer 4,937
Waddell & Reed Financial Inc WDR
Restricted Stock Units · derivative
2021-04-30 Disposed to issuer 15,899
Waddell & Reed Financial Inc WDR
Class A Common
2021-04-30 Disposed to issuer 58,026
Waddell & Reed Financial Inc WDR
Restricted Stock Units · derivative
2021-04-30 Disposed to issuer 8,178
Waddell & Reed Financial Inc WDR
Restricted Stock Units · derivative
2021-04-30 Disposed to issuer 108,059
Waddell & Reed Financial Inc WDR
Restricted Stock Units · derivative
2021-04-30 Disposed to issuer 62,600
Waddell & Reed Financial Inc WDR
Restricted Stock Units · derivative
2021-04-30 Disposed to issuer 4,937
Waddell & Reed Financial Inc WDR
Restricted Stock Units · derivative
2021-04-30 Disposed to issuer 2,819
Waddell & Reed Financial Inc WDR
Restricted Stock Units · derivative
2021-04-30 Disposed to issuer 6,517
Waddell & Reed Financial Inc WDR
Restricted Stock Units · derivative
2021-04-30 Disposed to issuer 1,409
Waddell & Reed Financial Inc WDR
Restricted Stock Units · derivative
2021-04-30 Disposed to issuer 15,501
Waddell & Reed Financial Inc WDR
Restricted Stock Units · derivative
2021-04-30 Disposed to issuer 13,911
Waddell & Reed Financial Inc WDR
Class A Common
2021-04-30 Disposed to issuer 105,280
Waddell & Reed Financial Inc WDR
Class A Common
2021-04-30 Disposed to issuer 6,794
Waddell & Reed Financial Inc WDR
Restricted Stock Units · derivative
2021-04-30 Disposed to issuer 4,937
Waddell & Reed Financial Inc WDR
Class A Common
2021-04-30 Disposed to issuer 71,044
Waddell & Reed Financial Inc WDR
Class A Common
2021-04-30 Disposed to issuer 76,831
Waddell & Reed Financial Inc WDR
Class A Common
2021-04-30 Disposed to issuer 76,956
Waddell & Reed Financial Inc WDR
Class A Common
2021-04-30 Disposed to issuer 52,187
showing 20 of 200 most recent transactions
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