Universe · entity

Osmosis Investment Management UK Ltd

Institutional manager (13F) · CIK 1780700
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $2.3B
#IssuerValueShares
1NVIDIA CORPORATION$288M1,649,774
2APPLE INC$241M947,791
3MICROSOFT CORP$147M396,597
4AMAZON COM INC$128M612,695
5ALPHABET INC$102M353,497
6ALPHABET INC$83M288,742
7META PLATFORMS INC$80M139,115
8BROADCOM INC$76M246,060
9TESLA INC$66M177,356
10JPMORGAN CHASE & CO$52M175,265
11ELI LILLY & CO$42M45,904
12JOHNSON & JOHNSON$39M158,964
13ASTRAZENECA PLC$39M199,294
14COCA COLA CO$35M454,596
15BRISTOL-MYERS SQUIBB CO$34M554,811
16VISA INC$33M109,401
17ANALOG DEVICES INC$33M103,218
18ADVANCED MICRO DEVICES INC$32M156,965
19CISCO SYS INC$31M405,545
20BERKSHIRE HATHAWAY INC DEL$31M65,223
21MCDONALDS CORP$31M98,325
22KLA CORP$30M20,262
23MASTERCARD INCORPORATED$28M55,084
24SOUTHERN CO$27M280,167
25NETFLIX INC.$26M269,815
26WALMART INC$25M202,512
27COSTCO WHOLESALE CORPORATION$25M25,253
28GILEAD SCIENCES INC$24M173,584
29ABBVIE INC$24M110,939
30ECOLAB INC$24M89,913
31MEDTRONIC PLC$24M273,631
32L3HARRIS TECHNOLOGIES INC$22M64,730
33CHEVRON CORPORATION$22M105,635
34BANK AMERICA CORP$22M446,596
35PALANTIR TECHNOLOGIES INC$21M142,533
36T-MOBILE US INC$21M97,783
37KEURIG DR PEPPER INC$20M770,544
38HOME DEPOT INC$20M62,156
39ROCKWELL AUTOMATION INC$20M55,879
40GE AEROSPACE$20M69,640
41UBER TECHNOLOGIES INC$20M273,838
42ENBRIDGE INC$20M361,515
43FASTENAL CO$19M419,491
44ACCENTURE PLC IRELAND$19M97,977
45GE VERNOVA INC$19M21,905
46ORACLE CORP$19M129,634
47APPLIED MATLS INC$19M55,073
48CARDINAL HEALTH INC$18M86,197
49WATERS CORP$17M58,535
50INTUIT$17M39,579
All filings on EDGAR ↗

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