Universe · entity

Magellan Asset Management Ltd

Institutional manager (13F) · CIK 1536105
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $7.4B
#IssuerValueShares
1AMAZON COM INC$468M2,248,881
2MICROSOFT CORP$440M1,189,155
3EVERSOURCE ENERGY$428M6,182,582
4TAIWAN SEMICONDUCTOR MANUFAC$398M1,178,008
5MASTERCARD INCORPORATED$292M584,990
6META PLATFORMS INC$290M507,032
7AMERICAN TOWER CORP$259M1,503,296
8CROWN CASTLE INC$232M2,855,204
9SEMPRA$219M2,258,369
10YUM BRANDS INC$213M1,370,088
11VISA INC$201M664,228
12UNITEDHEALTH GROUP INC$195M719,803
13ALPHABET INC$195M676,417
14PROCTER & GAMBLE CO$188M1,301,728
15INTERCONTINENTAL EXCHANGE IN$187M1,186,393
16XCEL ENERGY INC$184M2,316,759
17EVERGY INC$184M2,242,868
18DOMINION ENERGY INC$172M2,777,633
19BERKSHIRE HATHAWAY INC DEL$159M332,614
20CMS ENERGY CORP$157M2,019,954
21INTUIT$157M362,416
22MSCI INC$150M279,153
23WEC ENERGY GROUP INC$146M1,261,329
24ALLIANT ENERGY CORP$146M2,034,446
25NETFLIX INC.$144M1,500,208
26MEDTRONIC PLC$126M1,454,218
27CHIPOTLE MEXICAN GRILL INC$124M3,865,109
28COCA COLA CO$123M1,618,571
29ALPHABET INC$118M409,608
30STRYKER CORPORATION$99M301,120
31CME GROUP INC$96M325,872
32CSX CORP$76M1,847,063
33S&P GLOBAL INC$67M158,514
34UNION PAC CORP$62M257,154
35NORFOLK SOUTHN CORP$59M206,026
36EXELON CORP$54M1,092,489
37NEXTERA ENERGY INC$53M569,640
38AMERICAN ELEC PWR CO INC$53M403,001
39DUKE ENERGY CORP NEW$53M402,505
40SOUTHERN CO$53M545,545
41ENTERGY CORP NEW$53M468,285
42ZIMMER BIOMET HOLDINGS INC$50M550,781
43BOOKING HOLDINGS INC$49M11,617
44DOLLAR GEN CORP$48M408,064
45CONSOLIDATED EDISON INC$44M390,866
46PUBLIC SVC ENTERPRISE GROUP$42M523,529
47THERMO FISHER SCIENTIFIC INC$41M83,187
48ATMOS ENERGY CORP$34M181,367
49AMEREN CORP$33M298,332
50DTE ENERGY CO$32M220,150
All filings on EDGAR ↗

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