HoldingsChannel.com
Investec Asset Management LTD Top Holdings
As of  03/31/2019

   EntityAmountChange
 12/31/2018 to 03/31/2019
Position Size
($ in 1000's)
MICROSOFT CORP 11,387,215 +664,230 $1,343,008
     MSFT11,387,215+664,230$1,343,008
ALIBABA GROUP HOLDING LTD 5,335,580 +2,488,530 $973,477
     BABA5,335,580+2,488,530$973,477
BOOKING HOLDINGS INC 446,638 +23,929 $779,343
     BKNG446,638+23,929$779,343
ALPHABET INC 633,417 -13,283 $745,462
     GOOGL633,417-13,283$745,462
VISA INC 4,594,939 +249,234 $717,684
     V4,594,939+249,234$717,684
JOHNSON & JOHNSON 4,986,140 -510,307 $697,013
     JNJ4,986,140-510,307$697,013
CITIGROUP INC 9,220,900 -361,447 $573,724
     C9,220,900-361,447$573,724
UNITEDHEALTH GROUP INC 1,960,080 +2,271 $484,649
     UNH1,960,080+2,271$484,649
VERISIGN INC 2,631,523 +40,572 $477,779
     VRSN2,631,523+40,572$477,779
INFOSYS LTD 43,046,945 +3,418,796 $470,503
     INFY43,046,945+3,418,796$470,503
COMCAST CORP 11,234,178 -150,654 $449,142
     CMCSA11,234,178-150,654$449,142
PAYPAL HOLDINGS INC 4,127,943 -211,714 $428,646
     PYPL4,127,943-211,714$428,646
AMAZON.COM INC 226,155 -18,651 $402,726
     AMZN226,155-18,651$402,726
THERMO FISHER SCIENTIFIC INC 1,463,295 -181,109 $400,533
     TMO1,463,295-181,109$400,533
WORLDPAY INC 3,483,126 -32,212 $395,335
     WP3,483,126-32,212$395,335
MERCK & CO INC 4,727,560 -285,468 $393,191
     MRK4,727,560-285,468$393,191
VMWARE INC 2,131,480 -302,069 $384,753
     VMW2,131,480-302,069$384,753
HONEYWELL INTERNATIONAL INC 2,369,631 -103,125 $376,582
     HON2,369,631-103,125$376,582
MOODY&apos S CORP 2,022,774 +45,137 $366,304
     MCO2,022,774+45,137$366,304
BANK OF AMERICA CORP 12,875,508 -830,545 $355,235
     BAC12,875,508-830,545$355,235
PHILIP MORRIS INTERNATIONAL IN 3,833,344 +264,939 $338,829
     PM3,833,344+264,939$338,829
MARSH & MCLENNAN COS INC 3,016,924 +165,875 $283,289
     MMC3,016,924+165,875$283,289
INTUIT INC 1,057,282 +24,977 $276,384
     INTU1,057,282+24,977$276,384
APPLE INC 1,436,966 -113,441 $272,952
     AAPL1,436,966-113,441$272,952
MASTERCARD INC 1,097,888 +648,434 $258,498
     MA1,097,888+648,434$258,498
AUTOZONE INC 252,291 +132,508 $258,376
     AZO252,291+132,508$258,376
ELI LILLY & CO 1,841,175 -127,430 $238,911
     LLY1,841,175-127,430$238,911
ALEXION PHARMACEUTICALS INC 1,673,504 +240,014 $226,224
     ALXN1,673,504+240,014$226,224
CHARLES SCHWAB CORP THE 5,233,061 +35,222 $223,766
     SCHW5,233,061+35,222$223,766
ANTHEM INC 776,529 -58,507 $222,848
     ANTM776,529-58,507$222,848
NIKE INC 2,593,718 +42,123 $218,417
     NKE2,593,718+42,123$218,417
DISCOVER FINANCIAL SERVICES 3,042,582 +150,486 $216,510
     DFS3,042,582+150,486$216,510
TRANSUNION 3,238,826 -179,660 $216,483
     TRU3,238,826-179,660$216,483
NORFOLK SOUTHERN CORP 1,147,991 -93,979 $214,548
     NSC1,147,991-93,979$214,548
BECTON DICKINSON AND CO 820,936 +15,793 $205,012
     BDX820,936+15,793$205,012
CHEVRON CORP 1,608,446 -49,072 $198,128
     CVX1,608,446-49,072$198,128
UNUM GROUP 5,598,323 -396,775 $189,391
     UNM5,598,323-396,775$189,391
CBS CORP 3,776,288 +52,050 $179,487
     CBS3,776,288+52,050$179,487
FACTSET RESEARCH SYSTEMS INC 721,083 -42,248 $179,023
     FDS721,083-42,248$179,023
TIFFANY & CO 1,679,675 -88,109 $177,290
     TIF1,679,675-88,109$177,290
58.COM INC 2,696,505 +979,705 $177,106
     WUBA2,696,505+979,705$177,106
VALERO ENERGY CORP 2,078,900 -142,226 $176,353
     VLO2,078,900-142,226$176,353
NETAPP INC 2,469,955 -201,740 $171,267
     NTAP2,469,955-201,740$171,267
AFLAC INC 3,413,714 -231,867 $170,686
     AFL3,413,714-231,867$170,686
S&P GLOBAL INC 805,773 -27,002 $169,656
     SPGI805,773-27,002$169,656
WYNDHAM WORLDWIDE CORP 4,156,623 -199,641 $168,302
     WYN4,156,623-199,641$168,302
FOOT LOCKER INC 2,718,638 -670,497 $164,749
     FL2,718,638-670,497$164,749
INTEL CORP 3,009,115 +58,896 $161,589
     INTC3,009,115+58,896$161,589
3M CO 761,887 -83,303 $158,305
     MMM761,887-83,303$158,305
DELTA AIR LINES INC 2,994,046 -426,165 $154,642
     DAL2,994,046-426,165$154,642

See Full List: All Stocks Held By Investec Asset Management LTD
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Investec Asset Management LTD

Size ($ in 1000's)
At 03/31/2019: $25,241,855
At 12/31/2018: $23,189,449

Investec Asset Management LTD holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Investec Asset Management LTD 13F filings. Link to 13F filings: SEC filings

Investec Asset Management LTD Top Holdings 13F Filings | www.HoldingsChannel.com

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