Universe · entity

AustralianSuper Pty Ltd

Institutional manager (13F) · CIK 1694164
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $13.5B
#IssuerValueShares
1NVIDIA CORPORATION$1.8B10,469,496
2APPLE INC$1.5B6,033,707
3ALPHABET INC$843M2,933,234
4BROADCOM INC$742M2,397,962
5MICROSOFT CORP$636M1,716,818
6META PLATFORMS INC$470M821,969
7TESLA INC$312M838,798
8COSTCO WHOLESALE CORPORATION$282M283,139
9AMAZON COM INC$282M1,353,014
10HARTFORD INSURANCE GROUP INC$277M2,045,163
11ALLSTATE CORP$275M1,326,721
12TRAVELERS COMPANIES INC$273M936,118
13ELI LILLY & CO$255M276,856
14HOWMET AEROSPACE INC$254M1,102,785
15MONSTER BEVERAGE CORP NEW$254M3,504,365
16IDEXX LABS INC$249M443,022
17KINROSS GOLD CORP$233M7,625,374
18BOOKING HOLDINGS INC$212M50,398
19GILEAD SCIENCES INC$200M1,436,171
20AERCAP HOLDINGS NV$199M1,449,047
21SYNCHRONY FINANCIAL$197M2,893,228
22ADOBE INC$178M731,268
23AMPHENOL CORP$173M1,372,030
24EMCOR GROUP INC$168M228,215
25LAM RESEARCH CORP$150M704,267
26MICRON TECHNOLOGY INC$147M433,886
27TAIWAN SEMICONDUCTOR MANUFAC$146M432,236
28PFIZER INC$140M4,980,592
29NETFLIX INC.$134M1,398,041
30GENERAL MTRS CO$131M1,756,495
31MANULIFE FINL CORP$129M3,754,341
32AT&T INC$129M4,457,437
33BRISTOL-MYERS SQUIBB CO$129M2,125,356
34CF INDUSTRIES HOLD$129M992,041
35ALPHABET INC$128M446,985
36MASTERCARD INCORPORATED$128M255,269
37COLGATE PALMOLIVE CO$127M1,494,272
38MORGAN STANLEY$125M760,386
39WABTEC$124M495,032
40PDD HOLDINGS INC$120M1,173,300
41MARATHON PETE CORP$120M489,549
42COMCAST CORP NEW$117M4,079,154
43METLIFE INC$114M1,607,719
44BIOGEN INC$113M616,193
45PAYPAL HLDGS INC$113M2,488,715
46HP INC$110M5,738,970
47TEVA PHARMACEUTICAL INDS LTD$107M3,556,389
48INCYTE CORP$107M1,137,143
49HCA HEALTHCARE INC$107M225,950
50ADVANCED MICRO DEVICES INC$105M515,664
All filings on EDGAR ↗

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