Universe · entity

Sarasin & Partners LLP

Institutional manager (13F) · CIK 1510481
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $8.1B
#IssuerValueShares
1NVIDIA CORPORATION$793M4,546,859
2MICROSOFT CORP$580M1,567,085
3ALPHABET INC$496M1,724,922
4APPLE INC$467M1,840,569
5AMAZON COM INC$404M1,937,855
6MASTERCARD INCORPORATED$337M674,333
7BROADCOM INC$331M1,069,152
8CME GROUP INC$275M930,687
9JPMORGAN CHASE & CO$267M908,567
10NETFLIX INC.$238M2,476,404
11AMGEN INC$234M666,450
12BLACKROCK INC$231M240,698
13HOME DEPOT INC$217M660,862
14EMERSON ELEC CO$216M1,651,372
15COLGATE PALMOLIVE CO$213M2,497,088
16COSTCO WHOLESALE CORPORATION$200M200,399
17META PLATFORMS INC$197M344,188
18AMERICAN TOWER CORP$149M863,166
19DUKE ENERGY CORP NEW$146M1,112,513
20UBER TECHNOLOGIES INC$141M1,964,422
21KIMBERLY-CLARK CORP$132M1,368,255
22MOODYS CORP$126M287,785
23FORTINET INC$124M1,517,445
24THERMO FISHER SCIENTIFIC INC$123M249,854
25MERCADOLIBRE INC$121M70,250
26ELI LILLY & CO$112M122,180
27CISCO SYS INC$112M1,444,468
28QUANTA SVCS INC$111M202,747
29MERCK & CO INC$95M785,691
30PROLOGIS INC.$92M693,952
31ECOLAB INC$81M306,224
32SMITH A O CORP$79M1,200,917
33DEERE & CO$79M139,415
34CITIGROUP INC$74M654,822
35MARSH & MCLENNAN COS INC$72M412,712
36TAIWAN SEMICONDUCTOR MANUFAC$67M197,114
37INTUITIVE SURGICAL INC$49M107,124
38AMETEK INC$43M201,791
39OTIS WORLDWIDE CORP$42M546,283
40TEXAS INSTRS INC$40M205,797
41PFIZER INC$38M1,355,787
42SNAP ON INC$24M66,153
43NETAPP INC$24M229,912
44ROSS STORES INC$18M85,173
45SPDR GOLD TR$17M40,468
46ALPHABET INC$14M48,325
47SERVICENOW INC$14M131,968
48VANGUARD INTL EQUITY INDEX F$14M254,012
49TETRA TECH INC NEW$13M436,170
50MORGAN STANLEY$8M48,495
All filings on EDGAR ↗

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