Universe · entity

Te Ahumairangi Investment Management Ltd

Institutional manager (13F) · CIK 1832237
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $495M
#IssuerValueShares
1MICROSOFT CORP$53M144,246
2VERIZON COMMUNICATIONS INC$35M693,408
3APPLE INC$30M116,262
4ALPHABET INC$26M90,468
5EVEREST GROUP LTD$17M53,180
6VERISIGN INC$14M56,678
7CISCO SYS INC$12M158,994
8NVIDIA CORPORATION$12M69,573
9TOTALENERGIES SE$12M124,173
10AT&T INC$11M372,849
11VISA INC$11M35,115
12CHECK POINT SOFTWARE TECH LT$10M72,397
13META PLATFORMS INC$10M17,466
14KROGER CO$10M136,419
15MEDTRONIC PLC$10M110,128
16AMAZON COM INC$9M44,311
17DAVITA INC$9M59,330
18GRAINGER W W INC$9M8,309
19CITIGROUP INC$9M76,761
20TRAVELERS COMPANIES INC$9M29,437
21CONSOLIDATED EDISON INC$8M74,621
22NEWMONT CORP$8M76,807
23JOHNSON & JOHNSON$8M33,864
24PROCTER & GAMBLE CO$8M55,520
25MERCK & CO INC$8M63,569
26EXELON CORP$7M137,628
27GILEAD SCIENCES INC$7M46,856
28DISNEY WALT CO$6M66,780
29ASTRAZENECA PLC$6M32,489
30LABCORP HOLDINGS INC$6M23,076
31AGNICO EAGLE MINES LTD$6M29,800
32ALPHABET INC$6M20,937
33PFIZER INC$6M211,112
34QUEST DIAGNOSTICS INC$6M30,222
35BROADCOM INC$6M18,985
36COLGATE PALMOLIVE CO$6M66,819
37NETFLIX INC$6M57,625
38ADOBE INC$5M22,543
39GENERAL MTRS CO$5M71,372
40MARSH & MCLENNAN COS INC$5M30,527
41CARDINAL HEALTH INC$5M24,064
42THE CIGNA GROUP$5M18,993
43PUBLIC STORAGE OPER CO$5M18,406
44ABBVIE INC$5M22,818
45HCA HEALTHCARE INC$5M10,042
46WP CAREY INC$5M69,317
47ROYAL BK CDA$5M29,170
48CROWN CASTLE INC$5M56,275
49BRISTOL-MYERS SQUIBB CO$5M75,355
50INTERNATIONAL BUSINESS MACHS$5M18,686
All filings on EDGAR ↗

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