HoldingsChannel.com
Troy Asset Management Ltd Top Holdings
As of  03/31/2019

   EntityAmountChange
 12/31/2018 to 03/31/2019
Position Size
($ in 1000's)
COCA COLA CO 7,170,410 +50,100 $336,005
     KO7,170,410+50,100$336,005
MICROSOFT CORP 2,806,347 +47,500 $330,981
     MSFT2,806,347+47,500$330,981
PROCTER & GAMBLE 2,571,121 +18,186 $267,525
     PG2,571,121+18,186$267,525
PHILIP MORRIS INT 2,190,571 +43,856 $193,625
     PM2,190,571+43,856$193,625
AMERICAN EXPRESS CO 1,526,281 +7,800 $166,823
     AXP1,526,281+7,800$166,823
BERKSHIRE HATHAWAY A SHS      $150,306
     BRK.A499+1$150,306
WELLS FARGO & CO 2,418,327 +16,500 $116,854
     WFC2,418,327+16,500$116,854
COLGATE PALMOLIVE CO 1,541,807 +75,800 $105,675
     CL1,541,807+75,800$105,675
FRANCO NEVADA CORP US 1,122,069 UNCH $84,211
     FNV1,122,069UNCH$84,211
MEDTRONIC INC 309,603 +309,603 $28,199
     COM309,603+309,603$28,199
ALPHABET INC CL A 22,255 +1,300 $26,192
     GOOGL22,255+1,300$26,192
PAYPAL HOLDINGS INC 237,407 UNCH $24,652
     PYPL237,407UNCH$24,652
VISA INC CLASS A SHARES (V) 127,841 +18,000 $19,967
     V127,841+18,000$19,967
EBAY INC 488,178 UNCH $18,131
     EBAY488,178UNCH$18,131
JOHNSON & JOHNSON 128,974 +1,700 $18,029
     JNJ128,974+1,700$18,029
BECTON DICKINSON AND CO 68,089 UNCH $17,004
     BDX68,089UNCH$17,004
INTUIT INC 53,482 UNCH $13,981
     INTU53,482UNCH$13,981
FISERV INC 151,824 UNCH $13,403
     FISV151,824UNCH$13,403
ALTRIA GROUP INC 213,576 -3,736,000 $12,266
     MO213,576-3,736,000$12,266
PEPSICO INC 94,674 +6,200 $11,602
     PEP94,674+6,200$11,602
FACEBOOK INC A 54,589 UNCH $9,099
     FB54,589UNCH$9,099
CISCO SYSTEMS INC 149,000 +8,000 $8,045
     CSCO149,000+8,000$8,045
CLOROX COMPANY CLX US 47,000 +2,000 $7,542
     CLX47,000+2,000$7,542
BOOKING HOLDINGS INC 4,243 +600 $7,404
     BKNG4,243+600$7,404
WALT DISNEY CO THE DIS US 62,119 +62,119 $6,897
     DIS62,119+62,119$6,897
PAYCHEX INC 82,500 +3,500 $6,617
     PAYX82,500+3,500$6,617
THOMSON REUTERS CORP 83,274 UNCH $6,584
     TRI83,274UNCH$6,584
EVERSOURCE ENERGY 83,000 UNCH $5,889
     ES83,000UNCH$5,889
HERSHEY CO THE 50,000 +4,000 $5,742
     HSY50,000+4,000$5,742
VERIZON COMMUNICATIONS INC 64,659 +6,700 $3,823
     VZ64,659+6,700$3,823
EMERSON ELECTRIC CO 55,500 UNCH $3,800
     EMR55,500UNCH$3,800
MCDONALD S CORP 19,000 UNCH $3,608
     MCD19,000UNCH$3,608
WESTERN UNION CO 193,000 +12,000 $3,565
     WU193,000+12,000$3,565
ACCENTURE PLC CL A 17,250 +750 $3,036
     ACN17,250+750$3,036
UNITED TECHNOLOGIES CORP 12,000 UNCH $1,547
     UTX12,000UNCH$1,547
PFIZER INC 33,000 UNCH $1,402
     PFE33,000UNCH$1,402
NEWS CORP CL A 63,712 +63,712 $793
     COM63,712+63,712$793
EXXON MOBIL CORP 8,000 UNCH $646
     XOM8,000UNCH$646
WHITE MOUNTAINS INSURANCE GP 665 UNCH $615
     WTM665UNCH$615
MONDELEZ INTERNATIONAL INC A 1,730 UNCH $86
     MDLZ1,730UNCH$86
KRAFT HEINZ CO 576 +576 $19
     COM576+576$19

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

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

Size ($ in 1000's)
At 03/31/2019: $2,042,196
At 12/31/2018: $1,998,908

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

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

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