Universe · entity

Ninety One UK Ltd

Institutional manager (13F) · CIK 1418329
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $34.6B
#IssuerValueShares
1Alphabet Inc$2.4B8,274,555
2Microsoft Corp$2.0B5,396,305
3NVIDIA Corp$2.0B11,287,143
4Visa Inc$1.8B6,112,245
5Johnson & Johnson$1.6B6,642,299
6Apple Inc$1.3B5,062,702
7Philip Morris International Inc$1.2B7,161,703
8Booking Holdings Inc$1.1B253,374
9Edwards Lifesciences Corp$993M12,396,143
10Autodesk Inc$964M4,025,659
11Amazon.com Inc$928M4,454,291
12Broadcom Inc$888M2,868,225
13Electronic Arts Inc$851M4,175,633
14Intuit Inc$813M1,880,712
15TKO Group Holdings Inc$730M3,619,298
16NetEase Inc$704M6,286,216
17Marsh & McLennan Cos Inc$699M4,029,142
18Exxon Mobil Corp$698M4,115,520
19JPMorgan Chase & Co$678M2,305,629
20Motorola Solutions Inc$584M1,345,798
21Monster Beverage Corp$540M7,455,306
22Mastercard Inc$534M1,067,740
23Taiwan Semiconductor Manufacturing Co Ltd$533M1,577,168
24VeriSign Inc$516M2,077,233
25Barrick Mining Corp$486M11,922,181
26Eli Lilly & Co$482M524,221
27Automatic Data Processing Inc$480M2,363,827
28Boston Scientific Corp$459M7,308,540
29Chevron Corp$417M2,014,575
30S&P Global Inc$417M979,893
31Jacobs Solutions Inc$414M3,255,342
32Citizens Financial Group Inc$406M6,768,224
33AstraZeneca PLC$397M2,047,019
34AerCap Holdings NV$386M2,810,328
35Align Technology Inc$382M2,228,214
36Ferrari NV$368M1,104,106
37Moody's Corp$367M840,302
38Check Point Software Technologies Ltd$366M2,562,679
39TD SYNNEX Corp$353M2,094,298
40CRH PLC$349M3,320,503
41Trane Technologies PLC$342M821,041
42General Motors Co$337M4,529,367
43UBS Group AG$332M8,687,978
44Abbott Laboratories$319M3,109,726
45Thermo Fisher Scientific Inc$313M637,262
46Meta Platforms Inc$303M528,841
47Goldman Sachs Group Inc/The$298M352,776
48NextEra Energy Inc$282M3,033,694
49Freeport-McMoRan Inc$269M4,584,244
50FactSet Research Systems Inc$259M1,194,996
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.