HoldingsChannel.com
USS Investment Management Ltd Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
ALIBABA GROUP HLDG LTD 2,683,200 +170,700 $521,453
     BABA2,683,200+170,700$521,453
MICROSOFT CORP 2,088,783 -317,133 $329,338
     MSFT2,088,783-317,133$329,338
APPLE INC 872,207 +123,445 $221,798
     AAPL872,207+123,445$221,798
MASTERCARD INC 837,390 -154,931 $202,602
     MA837,390-154,931$202,602
AMAZON COM INC 97,890 -10,957 $190,677
     AMZN97,890-10,957$190,677
ALPHABET INC 150,131 -37,865 $174,493
     GOOG150,131-37,865$174,493
MERCK & CO. INC 2,123,338 -587,537 $163,476
     MRK2,123,338-587,537$163,476
COMCAST CORP NEW 4,506,706 -1,315,209 $154,941
     CMCSA4,506,706-1,315,209$154,941
FACEBOOK INC 902,182 -677,646 $150,475
     FB902,182-677,646$150,475
ROGERS COMMUNICATIONS INC 3,035,252 -211,608 $126,286
     RCI3,035,252-211,608$126,286
PEPSICO INC 1,034,626 -117,691 $124,222
     PEP1,034,626-117,691$124,222
EATON CORP PLC 1,540,950 -182,580 $119,662
     ETN1,540,950-182,580$119,662
S&P GLOBAL INC 484,871 -130,527 $118,883
     SPGI484,871-130,527$118,883
AON PLC 704,504 -265,793 $116,271
     AON704,504-265,793$116,271
MONDELEZ INTL INC 2,196,980 -1,027,426 $110,025
     MDLZ2,196,980-1,027,426$110,025
BK OF AMERICA CORP 4,913,306 -406,320 $104,236
     BAC4,913,306-406,320$104,236
EQUINIX INC 162,335 -22,672 $101,467
     EQIX162,335-22,672$101,467
CME GROUP INC 580,823 -357,483 $100,543
     CME580,823-357,483$100,543
RAYTHEON CO 762,871 -495,152 $100,211
     RTN762,871-495,152$100,211
UNION PAC CORP 699,228 -52,145 $98,535
     UNP699,228-52,145$98,535
JD COM INC 2,426,900 +336,900 $98,302
     JD2,426,900+336,900$98,302
UNITEDHEALTH GROUP INC 380,716 -57,277 $94,914
     UNH380,716-57,277$94,914
XYLEM INC 1,371,748 -495,665 $89,335
     XYL1,371,748-495,665$89,335
TEXAS INSTRS INC 890,502 -75,685 $88,983
     TXN890,502-75,685$88,983
JOHNSON & JOHNSON 652,076 +326,176 $85,464
     JNJ652,076+326,176$85,464
SBA COMMUNICATIONS CORP NEW 311,337 -119,353 $84,092
     SBAC311,337-119,353$84,092
AMPHENOL CORP NEW 1,149,460 -135,448 $83,652
     APH1,149,460-135,448$83,652
WELLS FARGO CO NEW 2,824,507 -74,447 $81,035
     WFC2,824,507-74,447$81,035
FISERV INC 840,870 -247,668 $79,895
     FISV840,870-247,668$79,895
BOOKING HLDGS INC 56,659 -20,533 $76,216
     BKNG56,659-20,533$76,216
M & T BK CORP 722,904 -26,171 $74,734
     MTB722,904-26,171$74,734
ALPHABET INC 63,498 -3,742 $73,783
     GOOGL63,498-3,742$73,783
ALTRIA GROUP INC 1,869,350 -941,986 $72,278
     MO1,869,350-941,986$72,278
IQVIA HLDGS INC 661,023 -809,922 $71,324
     IQV661,023-809,922$71,324
BIOMARIN PHARMACEUTICAL INC 816,603 -361,859 $68,983
     BMRN816,603-361,859$68,983
NEW ORIENTAL ED & TECH GRP I 627,900 +20,400 $67,961
     EDU627,900+20,400$67,961
NETEASE INC 203,700 +26,700 $65,328
     NTES203,700+26,700$65,328
WEST PHARMACEUTICAL SVSC INC 425,548 -54,550 $64,985
     WST425,548-54,550$64,985
MANULIFE FINL CORP 5,051,696 -652,444 $63,524
     MFC5,051,696-652,444$63,524
MARSH & MCLENNAN COS INC 710,286 -105,908 $61,358
     MMC710,286-105,908$61,358
ISHARES INC (EWY) 1,291,150 -54,100 $60,587
     EWY1,291,150-54,100$60,587
INTEL CORP 1,048,029 +564,329 $56,725
     INTC1,048,029+564,329$56,725
MARRIOTT INTL INC NEW 735,381 -397,958 $55,003
     MAR735,381-397,958$55,003
TELEFLEX INCORPORATED 187,128 -35,442 $54,907
     TFX187,128-35,442$54,907
EOG RES INC 1,525,053 -246,048 $54,780
     EOG1,525,053-246,048$54,780
NVIDIA CORP 194,090 -293,605 $51,163
     NVDA194,090-293,605$51,163
BLACKSTONE GROUP INC 1,110,679 -1,239,754 $50,508
     BX1,110,679-1,239,754$50,508
ISHARES INC (EWM) 2,145,183 UNCH $49,822
     EWM2,145,183UNCH$49,822
PIONEER NAT RES CO 631,900 -432,104 $44,265
     PXD631,900-432,104$44,265
LAM RESEARCH CORP 182,467 -118,255 $43,827
     LRCX182,467-118,255$43,827

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 03/31/2020: $7,352,447
At 12/31/2019: $10,256,904

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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