HoldingsChannel.com
USS Investment Management Ltd Top Holdings
As of  06/30/2020

   EntityAmountChange
 03/31/2020 to 06/30/2020
Position Size
($ in 1000's)
ALIBABA GROUP HLDG LTD 2,633,000 -50,200 $568,017
     BABA2,633,000-50,200$568,017
MICROSOFT CORP 2,365,226 +276,443 $481,288
     MSFT2,365,226+276,443$481,288
APPLE INC 1,117,117 +244,910 $407,290
     AAPL1,117,117+244,910$407,290
ISHARES TR (LQD) 2,387,500 +2,387,500 $321,167
     LQD2,387,500+2,387,500$321,167
AMAZON COM INC 105,779 +7,889 $291,672
     AMZN105,779+7,889$291,672
MASTERCARD INCORPORATED 721,780 -115,610 $213,326
     MA721,780-115,610$213,326
FACEBOOK INC 855,058 -47,124 $194,145
     FB855,058-47,124$194,145
ALPHABET INC 134,996 -15,135 $190,891
     GOOG134,996-15,135$190,891
COMCAST CORP NEW 4,042,944 -463,762 $157,533
     CMCSA4,042,944-463,762$157,533
MERCK & CO. INC 1,910,151 -213,187 $147,674
     MRK1,910,151-213,187$147,674
S&P GLOBAL INC 390,284 -94,587 $128,480
     SPGI390,284-94,587$128,480
PEPSICO INC 956,897 -77,729 $126,526
     PEP956,897-77,729$126,526
JD.COM INC 2,053,900 -373,000 $123,614
     JD2,053,900-373,000$123,614
UNITEDHEALTH GROUP INC 382,918 +2,202 $112,827
     UNH382,918+2,202$112,827
EATON CORP PLC 1,181,644 -359,306 $103,305
     ETN1,181,644-359,306$103,305
AON PLC 536,088 -168,416 $103,205
     AON536,088-168,416$103,205
ALPHABET INC 72,498 +9,000 $102,796
     GOOGL72,498+9,000$102,796
BK OF AMERICA CORP 4,300,852 -612,454 $102,081
     BAC4,300,852-612,454$102,081
UNION PAC CORP 597,075 -102,153 $100,870
     UNP597,075-102,153$100,870
TEXAS INSTRS INC 780,157 -110,345 $99,037
     TXN780,157-110,345$99,037
JOHNSON & JOHNSON 682,136 +30,060 $95,792
     JNJ682,136+30,060$95,792
MONDELEZ INTL INC 1,792,645 -404,335 $91,613
     MDLZ1,792,645-404,335$91,613
EQUINIX INC 126,700 -35,635 $88,919
     EQIX126,700-35,635$88,919
ROGERS COMMUNICATIONS INC 2,112,553 -922,699 $85,068
     RCI2,112,553-922,699$85,068
RAYTHEON TECHNOLOGIES CORP 1,380,903 +618,032 $85,057
     RTN1,380,903+618,032$85,057
NETEASE INC 197,000 -6,700 $84,632
     NTES197,000-6,700$84,632
AMPHENOL CORP NEW 880,918 -268,542 $84,317
     APH880,918-268,542$84,317
AT&T INC 2,602,634 +1,225,700 $78,587
     T2,602,634+1,225,700$78,587
NVIDIA CORPORATION 201,906 +7,816 $76,614
     NVDA201,906+7,816$76,614
BIOMARIN PHARMACEUTICAL INC 619,686 -196,917 $76,423
     BMRN619,686-196,917$76,423
WELLS FARGO CO NEW 2,977,015 +152,508 $76,137
     WFC2,977,015+152,508$76,137
BOOKING HOLDINGS INC 46,636 -10,023 $74,345
     BKNG46,636-10,023$74,345
WEST PHARMACEUTICAL SVSC INC 320,008 -105,540 $72,691
     WST320,008-105,540$72,691
IQVIA HLDGS INC 506,521 -154,502 $71,858
     IQV506,521-154,502$71,858
SBA COMMUNICATIONS CORP NEW 237,425 -73,912 $70,696
     SBAC237,425-73,912$70,696
NEW ORIENTAL ED & TECHNOLOGY 517,900 -110,000 $67,449
     EDU517,900-110,000$67,449
HOME DEPOT INC 268,808 +124,634 $67,264
     HD268,808+124,634$67,264
XYLEM INC 1,028,197 -343,551 $66,771
     XYL1,028,197-343,551$66,771
CME GROUP INC 410,382 -170,441 $66,685
     CME410,382-170,441$66,685
FISERV INC 663,003 -177,867 $64,666
     FISV663,003-177,867$64,666
PFIZER INC 1,956,341 +616,396 $63,963
     PFE1,956,341+616,396$63,963
INTEL CORP 1,061,769 +13,740 $63,515
     INTC1,061,769+13,740$63,515
EXXON MOBIL CORP 1,372,086 +763,521 $61,312
     XOM1,372,086+763,521$61,312
ISHARES INC (EWM) 2,405,183 +260,000 $60,611
     EWM2,405,183+260,000$60,611
VERIZON COMMUNICATIONS INC 1,100,255 +447,400 $60,580
     VZ1,100,255+447,400$60,580
MARSH & MCLENNAN COS INC 562,452 -147,834 $60,362
     MMC562,452-147,834$60,362
ALTRIA GROUP INC 1,528,450 -340,900 $59,984
     MO1,528,450-340,900$59,984
EOG RES INC 1,164,755 -360,298 $58,989
     EOG1,164,755-360,298$58,989
ABBVIE INC 594,924 +294,804 $58,398
     ABBV594,924+294,804$58,398
BAIDU INC 484,000 +484,000 $58,003
     BIDU484,000+484,000$58,003

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

See Details: Top 10 Stocks Held By USS Investment Management Ltd

Size ($ in 1000's)
At 06/30/2020: $9,567,978
At 03/31/2020: $7,352,447

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

USS Investment Management Ltd Top Holdings 13F Filings | www.HoldingsChannel.com

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