Universe · entity

MILFORD FUNDS LTD

Institutional manager (13F) · CIK 1775715
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $4.5B
#IssuerValueShares
1MICROSOFT CORP$274M739,929
2AMAZON COM INC$245M1,176,468
3ARAMARK$245M6,038,431
4TAIWAN SEMICONDUCTOR MANUFA$217M641,823
5NVIDIA CORPORATION$213M1,222,247
6SHELL PLC$205M2,209,496
7ALPHABET INC$179M623,929
8INTUIT$165M380,478
9BANK AMERICA CORP$156M3,191,472
10NATIONAL GRID PLC$150M1,773,663
11CROWN CASTLE INC$147M1,809,742
12BOSTON SCIENTIFIC CORP$139M2,210,221
13APPLE INC$137M541,394
14META PLATFORMS INC$129M225,680
15AMERICAN TOWER CORP$107M621,018
16SALESFORCE INC$93M495,982
17API GROUP CORP$89M2,184,452
18MICRON TECHNOLOGY INC$88M261,704
19NETFLIX INC.$88M910,825
20CONOCOPHILLIPS$87M657,947
21THERMO FISHER SCIENTIFIC IN$81M165,244
22BROADCOM INC$78M253,162
23GALLAGHER ARTHUR J & CO$78M358,577
24HCA HEALTHCARE INC$77M161,698
25DUKE ENERGY CORP NEW$72M553,293
26RIO TINTO PLC$63M671,339
27RYANAIR HOLDINGS PLC$58M1,007,594
28PULTE GROUP INC$58M490,308
29JPMORGAN CHASE & CO$55M188,515
30UNION PAC CORP$53M218,283
31GXO LOGISTICS INCORPORATED$52M1,000,062
32PROLOGIS INC.$49M372,572
33TOLL BROTHERS INC$48M354,987
34NEWMONT CORP$47M435,014
35TRANSDIGM GROUP INC$44M38,083
36BECTON DICKINSON & CO$44M279,491
37JONES LANG LASALLE INC$44M144,000
38MASTERCARD INCORPORATED$43M86,912
39BP PLC$41M880,000
40RESMED INC$34M150,000
41CANADIAN PACIFIC KANSAS CIT$33M299,834
42FISERV INC$33M588,000
43INTERCONTINENTAL EXCHANGE I$31M197,054
44APPLIED MATLS INC$27M79,545
45AMEREN CORP$27M245,838
46DANAHER CORP DEL$26M136,089
47ELI LILLY & CO$23M24,761
48S&P GLOBAL INC$22M52,837
49MCDONALDS CORP$22M70,990
50WATERS CORP$20M66,669
All filings on EDGAR ↗

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