Universe · entity

Railway Pension Investments Ltd

Institutional manager (13F) · CIK 1658020
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $6.3B
#IssuerValueShares
1MICROSOFT CORP$375M1,013,270
2ALPHABET INC$265M920,190
3NVIDIA CORPORATION$246M1,407,700
4CHENIERE ENERGY INC$243M855,100
5AMAZON COM INC$234M1,121,800
6BROADCOM INC$234M754,692
7META PLATFORMS INC$229M399,440
8NEXTERA ENERGY INC$216M2,328,732
9LAM RESEARCH CORP$210M982,200
10EQUINIX INC$202M206,469
11THERMO FISHER SCIENTIFIC INC$201M408,930
12TEXAS INSTRS INC$191M981,511
13GILEAD SCIENCES INC$182M1,303,365
14CONSTELLATION ENERGY CORP$177M632,760
15ABBVIE INC$174M800,849
16APPLE INC$173M681,852
17VISA INC$169M560,679
18STRYKER CORPORATION$161M489,760
19JOHNSON & JOHNSON$159M650,036
20PALO ALTO NETWORKS INC$158M982,856
21MASTERCARD INCORPORATED$146M292,460
22IDEXX LABS INC$144M256,480
23PUBLIC SVC ENTERPRISE GROUP$139M1,722,350
24KLA CORP$129M87,387
25QUALCOMM INC$121M942,600
26AMPHENOL CORP$107M847,200
27OREILLY AUTOMOTIVE INC$107M1,156,151
28MCKESSON CORP$95M109,682
29SERVICENOW INC$93M892,280
30CISCO SYS INC$88M1,138,076
31ALTRIA GROUP INC$85M1,292,400
32FASTENAL CO$78M1,686,750
33PARKER-HANNIFIN CORP$66M73,400
34BRISTOL-MYERS SQUIBB CO$63M1,040,700
35EXPEDIA GROUP INC$61M265,700
36WW GRAINGER INC$60M55,208
37NETAPP INC$53M515,150
38BOOKING HOLDINGS INC$48M11,472
39HCA HEALTHCARE INC$44M92,447
40TJX COS INC NEW$43M267,100
41WALMART INC$42M340,239
42CADENCE DESIGN SYSTEM INC$39M140,720
43MOTOROLA SOLUTIONS INC$37M85,560
44TAPESTRY INC$36M256,400
45SALESFORCE INC$36M191,000
46VERIZON COMMUNICATIONS INC$35M705,000
47MARRIOTT INTL INC NEW$35M106,600
48ROLLINS INC$34M635,417
49AUTODESK INC$33M138,192
50OTIS WORLDWIDE CORP$32M410,000
All filings on EDGAR ↗

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