HoldingsChannel.com
USS Investment Management Ltd Top Holdings
As of  09/30/2022, below is a summary of the USS Investment Management Ltd top holdings by largest position size, as per the latest 13f filing made by USS Investment Management Ltd. In the USS Investment Management Ltd-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares held by USS Investment Management Ltd in that top holding, then the share count change between reporting periods, and finally the USS Investment Management Ltd top holding position size for that row.

   EntityAmountChange
 06/30/2022 to 09/30/2022
Position Size
($ in 1000's)
APPLE INC 3,077,439 -1,248,229 $424,948
     AAPL3,077,439-1,248,229$424,948
MICROSOFT CORP 1,495,425 -536,588 $348,171
     MSFT1,495,425-536,588$348,171
BLACKSTONE SECD LENDING FD 12,069,388 UNCH $274,880
     BXSL12,069,388UNCH$274,880
TOWER SEMICONDUCTOR LTD 57,532 UNCH $252,206
     TSEM57,532UNCH$252,206
ICL GROUP LTD 192,148 UNCH $155,823
     ICL192,148UNCH$155,823
JOHNSON & JOHNSON 621,320 -194,758 $101,641
     JNJ621,320-194,758$101,641
ALPHABET INC 922,744 +854,290 $88,283
     GOOGL922,744+854,290$88,283
ALPHABET INC 907,357 +840,348 $87,256
     GOOG907,357+840,348$87,256
UNITEDHEALTH GROUP INC 168,949 -69,927 $85,483
     UNH168,949-69,927$85,483
PFIZER INC 1,563,820 -415,236 $68,566
     PFE1,563,820-415,236$68,566
PROCTER AND GAMBLE CO 528,750 -179,026 $66,823
     PG528,750-179,026$66,823
VANGUARD WHITEHALL FDS (VWOB) 1,141,775 -100,000 $65,646
     VWOB1,141,775-100,000$65,646
ABBVIE INC 474,278 -129,969 $63,746
     ABBV474,278-129,969$63,746
LILLY ELI & CO 195,684 -60,153 $63,328
     LLY195,684-60,153$63,328
HOME DEPOT INC 212,600 -77,252 $58,789
     HD212,600-77,252$58,789
VISA INC 313,632 -124,828 $55,771
     V313,632-124,828$55,771
NVIDIA CORPORATION 431,380 -179,764 $52,365
     NVDA431,380-179,764$52,365
PEPSICO INC 314,789 -102,288 $51,407
     PEP314,789-102,288$51,407
JPMORGAN CHASE & CO 484,437 -218,629 $50,684
     JPM484,437-218,629$50,684
SAPIENS INTL CORP N V 24,990 UNCH $49,196
     SPNS24,990UNCH$49,196
META PLATFORMS INC 353,908 -184,283 $48,025
     FB353,908-184,283$48,025
MASTERCARD INCORPORATED 161,570 -64,898 $46,038
     MA161,570-64,898$46,038
VERIZON COMMUNICATIONS INC 1,206,306 -306,287 $45,840
     VZ1,206,306-306,287$45,840
MERCK & CO INC 514,351 -186,868 $44,331
     MRK514,351-186,868$44,331
COCA COLA CO 781,256 -301,721 $43,809
     KO781,256-301,721$43,809
THERMO FISHER SCIENTIFIC INC 78,026 -29,151 $39,604
     TMO78,026-29,151$39,604
ISHARES INC (EWM) 1,910,101 +245,101 $38,574
     EWM1,910,101+245,101$38,574
MCDONALDS CORP 166,550 -55,281 $38,459
     MCD166,550-55,281$38,459
AT&T INC 2,409,214 -528,287 $37,017
     T2,409,214-528,287$37,017
BRISTOL MYERS SQUIBB CO 520,079 -164,208 $36,988
     BMY520,079-164,208$36,988
WALMART INC 280,949 -113,460 $36,474
     WMT280,949-113,460$36,474
BK OF AMERICA CORP 1,174,423 -548,904 $35,503
     BAC1,174,423-548,904$35,503
CISCO SYS INC 854,636 -312,016 $34,198
     CSCO854,636-312,016$34,198
NEXTERA ENERGY INC 433,590 -143,645 $34,059
     NEE433,590-143,645$34,059
BROADCOM INC 76,413 -30,451 $33,930
     AVGO76,413-30,451$33,930
AMGEN INC 145,086 -41,670 $32,713
     AMGN145,086-41,670$32,713
TEXAS INSTRS INC 210,195 -63,976 $32,535
     TXN210,195-63,976$32,535
MEDTRONIC PLC 398,522 -96,245 $32,212
     MDT398,522-96,245$32,212
LINDE PLC 119,100 -37,918 $32,118
     LIN119,100-37,918$32,118
ACCENTURE PLC IRELAND 122,576 -46,728 $31,568
     ACN122,576-46,728$31,568
DANAHER CORPORATION 118,560 -43,882 $30,653
     DHR118,560-43,882$30,653
ABBOTT LABS 310,339 -130,817 $30,039
     ABT310,339-130,817$30,039
INTEL CORP 1,147,480 -278,206 $29,588
     INTC1,147,480-278,206$29,588
PINDUODUO INC 462,994 -195,898 $28,967
     PDD462,994-195,898$28,967
COMCAST CORP NEW 981,105 -337,307 $28,771
     CMCSA981,105-337,307$28,771
VALE S A 2,018,509 -590,500 $26,937
     VALE2,018,509-590,500$26,937
AUTOMATIC DATA PROCESSING IN 118,869 -31,174 $26,893
     ADP118,869-31,174$26,893
UNITED PARCEL SERVICE INC 165,967 -51,237 $26,831
     UPS165,967-51,237$26,831
CVS HEALTH CORP 272,496 -88,073 $26,008
     CVS272,496-88,073$26,008
DISNEY WALT CO 271,768 -132,672 $25,673
     DIS271,768-132,672$25,673

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 09/30/2022: $6,843,474
At 06/30/2022: $10,013,604

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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