Universe · entity
Ninety One UK Ltd
Institutional manager (13F) · CIK 1418329
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $34.6B
| # | Issuer | Value | Shares |
|---|---|---|---|
| 1 | Alphabet Inc | $2.4B | 8,274,555 |
| 2 | Microsoft Corp | $2.0B | 5,396,305 |
| 3 | NVIDIA Corp | $2.0B | 11,287,143 |
| 4 | Visa Inc | $1.8B | 6,112,245 |
| 5 | Johnson & Johnson | $1.6B | 6,642,299 |
| 6 | Apple Inc | $1.3B | 5,062,702 |
| 7 | Philip Morris International Inc | $1.2B | 7,161,703 |
| 8 | Booking Holdings Inc | $1.1B | 253,374 |
| 9 | Edwards Lifesciences Corp | $993M | 12,396,143 |
| 10 | Autodesk Inc | $964M | 4,025,659 |
| 11 | Amazon.com Inc | $928M | 4,454,291 |
| 12 | Broadcom Inc | $888M | 2,868,225 |
| 13 | Electronic Arts Inc | $851M | 4,175,633 |
| 14 | Intuit Inc | $813M | 1,880,712 |
| 15 | TKO Group Holdings Inc | $730M | 3,619,298 |
| 16 | NetEase Inc | $704M | 6,286,216 |
| 17 | Marsh & McLennan Cos Inc | $699M | 4,029,142 |
| 18 | Exxon Mobil Corp | $698M | 4,115,520 |
| 19 | JPMorgan Chase & Co | $678M | 2,305,629 |
| 20 | Motorola Solutions Inc | $584M | 1,345,798 |
| 21 | Monster Beverage Corp | $540M | 7,455,306 |
| 22 | Mastercard Inc | $534M | 1,067,740 |
| 23 | Taiwan Semiconductor Manufacturing Co Ltd | $533M | 1,577,168 |
| 24 | VeriSign Inc | $516M | 2,077,233 |
| 25 | Barrick Mining Corp | $486M | 11,922,181 |
| 26 | Eli Lilly & Co | $482M | 524,221 |
| 27 | Automatic Data Processing Inc | $480M | 2,363,827 |
| 28 | Boston Scientific Corp | $459M | 7,308,540 |
| 29 | Chevron Corp | $417M | 2,014,575 |
| 30 | S&P Global Inc | $417M | 979,893 |
| 31 | Jacobs Solutions Inc | $414M | 3,255,342 |
| 32 | Citizens Financial Group Inc | $406M | 6,768,224 |
| 33 | AstraZeneca PLC | $397M | 2,047,019 |
| 34 | AerCap Holdings NV | $386M | 2,810,328 |
| 35 | Align Technology Inc | $382M | 2,228,214 |
| 36 | Ferrari NV | $368M | 1,104,106 |
| 37 | Moody's Corp | $367M | 840,302 |
| 38 | Check Point Software Technologies Ltd | $366M | 2,562,679 |
| 39 | TD SYNNEX Corp | $353M | 2,094,298 |
| 40 | CRH PLC | $349M | 3,320,503 |
| 41 | Trane Technologies PLC | $342M | 821,041 |
| 42 | General Motors Co | $337M | 4,529,367 |
| 43 | UBS Group AG | $332M | 8,687,978 |
| 44 | Abbott Laboratories | $319M | 3,109,726 |
| 45 | Thermo Fisher Scientific Inc | $313M | 637,262 |
| 46 | Meta Platforms Inc | $303M | 528,841 |
| 47 | Goldman Sachs Group Inc/The | $298M | 352,776 |
| 48 | NextEra Energy Inc | $282M | 3,033,694 |
| 49 | Freeport-McMoRan Inc | $269M | 4,584,244 |
| 50 | FactSet Research Systems Inc | $259M | 1,194,996 |
Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.