HoldingsChannel.com
Royal London Asset Management Ltd. Top Holdings
As of  06/30/2020

   EntityAmountChange
 03/31/2020 to 06/30/2020
Position Size
($ in 1000's)
MICROSOFT CORP 4,781,643 +75,105 $948,989
     MSFT4,781,643+75,105$948,989
APPLE INC 1,975,595 -74,289 $715,106
     AAPL1,975,595-74,289$715,106
AMAZON COM INC 248,797 -1,054 $667,147
     AMZN248,797-1,054$667,147
ALPHABET INC 247,995 -5,457 $346,594
     GOOGL247,995-5,457$346,594
VISA INC 1,438,733 +50,761 $275,424
     V1,438,733+50,761$275,424
FACEBOOK INC 1,160,323 -25,424 $256,089
     FB1,160,323-25,424$256,089
ALPHABET INC 148,272 -4,648 $206,882
     GOOG148,272-4,648$206,882
ALIBABA GROUP HLDG LTD 957,506 -644 $205,859
     BABA957,506-644$205,859
JOHNSON & JOHNSON 1,456,379 -59,138 $202,677
     JNJ1,456,379-59,138$202,677
TEXAS INSTRS INC 1,496,096 +368,822 $186,705
     TXN1,496,096+368,822$186,705
BERKSHIRE HATHAWAY INC DEL      $177,184
     BRK.B761,984-53,921$134,959
     BRK.A159-9$42,225
JPMORGAN CHASE & CO 1,800,859 -78,406 $167,471
     JPM1,800,859-78,406$167,471
ANSYS INC 538,421 +28,427 $151,859
     ANSS538,421+28,427$151,859
VERIZON COMMUNICATIONS INC 2,708,198 -136,163 $148,125
     VZ2,708,198-136,163$148,125
UNITEDHEALTH GROUP INC 505,277 -12,498 $146,492
     UNH505,277-12,498$146,492
THERMO FISHER SCIENTIFIC INC 412,297 +12,093 $144,679
     TMO412,297+12,093$144,679
HOME DEPOT INC 584,826 -22,899 $143,940
     HD584,826-22,899$143,940
AGILENT TECHNOLOGIES INC 1,574,407 +138,465 $137,359
     A1,574,407+138,465$137,359
EXXON MOBIL CORP 2,924,589 +107,854 $129,632
     XOM2,924,589+107,854$129,632
ADOBE INC 294,160 +79,280 $124,824
     ADBE294,160+79,280$124,824
LILLY ELI & CO 682,793 -14,564 $111,155
     LLY682,793-14,564$111,155
PROCTER AND GAMBLE CO 935,913 -35,715 $110,110
     PG935,913-35,715$110,110
PAYPAL HLDGS INC 645,554 -17,338 $108,724
     PYPL645,554-17,338$108,724
CISCO SYS INC 2,259,367 -58,113 $104,304
     CSCO2,259,367-58,113$104,304
MASTERCARD INCORPORATED 339,518 -11,759 $99,528
     MA339,518-11,759$99,528
SALESFORCE COM INC 531,661 +66,852 $97,501
     CRM531,661+66,852$97,501
INTEL CORP 1,639,653 -65,741 $95,600
     INTC1,639,653-65,741$95,600
PEPSICO INC 725,738 -20,287 $95,162
     PEP725,738-20,287$95,162
NETFLIX INC 205,922 -5,569 $92,115
     NFLX205,922-5,569$92,115
ABBVIE INC 928,092 +85,373 $89,510
     ABBV928,092+85,373$89,510
INTUITIVE SURGICAL INC 152,746 +9,543 $84,627
     ISRG152,746+9,543$84,627
NVIDIA CORPORATION 226,810 -4,697 $83,484
     NVDA226,810-4,697$83,484
AT&T INC 2,733,281 -158,873 $81,793
     T2,733,281-158,873$81,793
DISNEY WALT CO 721,852 +19,424 $80,515
     DIS721,852+19,424$80,515
COSTCO WHSL CORP NEW 259,491 -47,678 $78,264
     COST259,491-47,678$78,264
UNION PAC CORP 469,245 -15,303 $77,658
     UNP469,245-15,303$77,658
MERCK & CO. INC 976,912 -35,899 $74,363
     MRK976,912-35,899$74,363
AUTODESK INC 316,698 -2,746 $73,542
     ADSK316,698-2,746$73,542
BROADCOM INC 236,724 -5,779 $73,384
     AVGO236,724-5,779$73,384
DANAHER CORPORATION 416,586 -35,436 $71,790
     DHR416,586-35,436$71,790
STRYKER CORPORATION 391,607 +44,709 $69,493
     SYK391,607+44,709$69,493
PFIZER INC 2,126,198 -66,718 $69,410
     PFE2,126,198-66,718$69,410
BK OF AMERICA CORP 2,917,803 -242,325 $68,233
     BAC2,917,803-242,325$68,233
INTUIT 235,927 -4,736 $67,973
     INTU235,927-4,736$67,973
COMCAST CORP NEW 1,727,090 -51,086 $67,279
     CMCSA1,727,090-51,086$67,279
COCA COLA CO 1,476,050 -43,654 $65,470
     KO1,476,050-43,654$65,470
WALMART INC 536,256 -19,461 $63,865
     WMT536,256-19,461$63,865
CHEVRON CORP NEW 724,054 -26,515 $63,481
     CVX724,054-26,515$63,481
AMERICAN TOWER CORP NEW 245,473 -6,310 $62,297
     AMT245,473-6,310$62,297
APTIV PLC 814,201 +19,968 $61,590
     APTV814,201+19,968$61,590

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

See Details: Top 10 Stocks Held By Royal London Asset Management Ltd.

Size ($ in 1000's)
At 06/30/2020: $14,321,827
At 03/31/2020: $12,380,209

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

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

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