HoldingsChannel.com
Magellan Asset Management Ltd Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
MICROSOFT CORP 20,588,399 -1,405,873 $3,246,996
     MSFT20,588,399-1,405,873$3,246,996
ALIBABA GROUP HLDG LTD 14,057,059 -1,606,797 $2,733,817
     BABA14,057,059-1,606,797$2,733,817
FACEBOOK INC 14,293,385 -2,172,960 $2,384,137
     FB14,293,385-2,172,960$2,384,137
ALPHABET INC 1,938,601 -551,894 $2,254,225
     GOOG1,938,601-551,894$2,254,225
STARBUCKS CORP 31,499,903 -536,775 $2,070,804
     SBUX31,499,903-536,775$2,070,804
CROWN CASTLE INTL CORP NEW 12,820,166 +114 $1,851,232
     CCI12,820,166+114$1,851,232
VISA INC 11,434,598 -3,082,737 $1,842,342
     V11,434,598-3,082,737$1,842,342
XCEL ENERGY INC 30,288,696 -752,116 $1,826,408
     XEL30,288,696-752,116$1,826,408
MASTERCARD INC 5,205,104 -1,482,778 $1,257,345
     MA5,205,104-1,482,778$1,257,345
WEC ENERGY GROUP INC 13,969,539 -100,515 $1,231,135
     WEC13,969,539-100,515$1,231,135
EVERSOURCE ENERGY 15,655,404 -393,608 $1,224,409
     ES15,655,404-393,608$1,224,409
YUM BRANDS INC 17,833,265 -2,600,887 $1,222,114
     YUM17,833,265-2,600,887$1,222,114
LAUDER ESTEE COS INC 7,331,369 +593,974 $1,168,180
     EL7,331,369+593,974$1,168,180
PEPSICO INC 8,817,911 +470,086 $1,059,031
     PEP8,817,911+470,086$1,059,031
MCDONALDS CORP 5,690,799 +2,184,908 $940,974
     MCD5,690,799+2,184,908$940,974
HCA HEALTHCARE INC 10,166,616 -17,884 $913,470
     HCA10,166,616-17,884$913,470
ATMOS ENERGY CORP 3,685,320 -215,672 $365,694
     ATO3,685,320-215,672$365,694
ALPHABET INC 242,710 -26,876 $282,017
     GOOGL242,710-26,876$282,017
SEMPRA ENERGY 2,029,680 -71,503 $229,334
     SRE2,029,680-71,503$229,334
AMERICAN WTR WKS CO INC NEW 1,612,846 +278,268 $192,832
     AWK1,612,846+278,268$192,832
FIRSTENERGY CORP 4,321,951 -388,451 $173,181
     FE4,321,951-388,451$173,181
UNION PAC CORP 1,043,653 +309,655 $147,197
     UNP1,043,653+309,655$147,197
CSX CORP 1,739,646 +527,127 $99,682
     CSX1,739,646+527,127$99,682
CME GROUP INC 132,963 -2,196,102 $22,991
     CME132,963-2,196,102$22,991
SBA COMMUNICATIONS CORP NEW 81,424 -7,855 $21,982
     SBAC81,424-7,855$21,982
DUKE ENERGY CORP NEW 271,717 -25,473 $21,976
     DUK271,717-25,473$21,976
AMERICAN TOWER CORP NEW 99,476 -50,695 $21,661
     AMT99,476-50,695$21,661
SOUTHERN CO 391,526 -28,485 $21,197
     SO391,526-28,485$21,197
DOMINION ENERGY INC 279,891 -40,924 $20,205
     D279,891-40,924$20,205
AMERICAN ELEC PWR CO INC 250,871 -35,046 $20,065
     AEP250,871-35,046$20,065
CONSOLIDATED EDISON INC 250,717 -15,161 $19,556
     ED250,717-15,161$19,556
PPL CORP 605,169 +33,866 $14,936
     PPL605,169+33,866$14,936
ENTERGY CORP NEW 155,746 -4,448 $14,635
     ETR155,746-4,448$14,635
DTE ENERGY CO 147,987 -6,893 $14,054
     DTE147,987-6,893$14,054
AMEREN CORP 188,120 -13,708 $13,701
     AEE188,120-13,708$13,701
CMS ENERGY CORP 219,927 -2,199 $12,921
     CMS219,927-2,199$12,921
EVERGY INC 176,725 -3,701,398 $9,729
     EVRG176,725-3,701,398$9,729
ALLIANT ENERGY CORP 187,273 +701 $9,043
     LNT187,273+701$9,043
AVANGRID INC 196,495 -2,400 $8,603
     AGR196,495-2,400$8,603
NISOURCE INC 294,834 -4,518 $7,362
     NI294,834-4,518$7,362
ESSENTIAL UTILS INC 175,364 +175,364 $7,137
     WTRG175,364+175,364$7,137
PINNACLE WEST CAP CORP 87,960 -2,599 $6,666
     PNW87,960-2,599$6,666
ONE GAS INC 41,338 -1,814 $3,457
     OGS41,338-1,814$3,457
PORTLAND GEN ELEC CO 70,822 -3,756 $3,395
     POR70,822-3,756$3,395
IDACORP INC 38,618 -2,213 $3,390
     IDA38,618-2,213$3,390
BLACK HILLS CORP 47,817 -2,888 $3,062
     BKH47,817-2,888$3,062
SPIRE INC 38,785 -2,058 $2,889
     SR38,785-2,058$2,889
SOUTHWEST GAS HOLDINGS INC 39,895 -1,897 $2,775
     SWX39,895-1,897$2,775
ALLETE INC 40,846 -1,750 $2,479
     ALE40,846-1,750$2,479
AMER STATES WTR CO 28,967 -1,677 $2,368
     AWR28,967-1,677$2,368

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

See Details: Top 10 Stocks Held By Magellan Asset Management Ltd

Size ($ in 1000's)
At 03/31/2020: $29,048,534
At 12/31/2019: $37,973,354

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

Magellan Asset Management Ltd Top Holdings 13F Filings | www.HoldingsChannel.com

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