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Ninety One (UK)

Ninety One (UK) Portfolio holdings

AUM $44.7B
1-Year Est. Return 17.24%
This Fund
S&P 500
This Quarter Est. Return
+4.79%
1 Year Est. Return
+17.24%
3 Year Est. Return
+87.79%
5 Year Est. Return
+111.34%
10 Year Est. Return
+534.1%
AUM
$20.1B
AUM Growth
+$1.46B
Cap. Flow
+$842M
Cap. Flow %
4.18%
Top 10 Hldgs %
27.24%
Holding
292
New
54
Increased
108
Reduced
94
Closed
33

Top Buys

Rank Stock Value
1
AVGO icon
Broadcom
AVGO
+$333M
2
MRK icon
Merck
MRK
+$179M
3
CVX icon
Chevron
CVX
+$141M
4
GS icon
Goldman Sachs
GS
+$131M
5
WH icon
Wyndham Hotels & Resorts
WH
+$127M

Top Sells

Rank Stock Value
1
META icon
Meta Platforms (Facebook)
META
+$246M
2
CMI icon
Cummins
CMI
+$150M
3
BNS icon
Scotiabank
BNS
+$105M
4
TNL icon
Travel + Leisure Co
TNL
+$91.6M
5
OC icon
Owens Corning
OC
+$84.9M

Sector Composition

Rank Sector Weight
1 Financials 23.29%
2 Technology 17.46%
3 Consumer Discretionary 15.42%
4 Healthcare 11.95%
5 Communication Services 8.14%
Name Market Value Portfolio Weight Shares or Principal Change
in Stake
Capital Flow
CI icon
26
Cigna
CI
$74.5B
$199M 0.99%
1,173,246
-352,182
-23% -$61M
PM icon
27
Philip Morris
PM
$292B
$196M 0.98%
2,432,376
+416,518
+21% +$35.3M
MS icon
28
Morgan Stanley
MS
$332B
$192M 0.96%
4,061,142
+204,514
+5% +$10.7M
LVS icon
29
Las Vegas Sands
LVS
$30.6B
$188M 0.93%
2,461,089
+86,779
+4% +$6.63M
MRK icon
30
Merck
MRK
$316B
$188M 0.93%
3,244,616
+3,171,213
+4,320% +$179M
INFY icon
31
Infosys
INFY
$49.6B
$186M 0.92%
19,134,734
+3,428,570
+22% +$30.7M
DAL icon
32
Delta Air Lines
DAL
$60.2B
$185M 0.92%
3,742,148
+1,152,284
+44% +$61.5M
NSC icon
33
Norfolk Southern
NSC
$75.6B
$178M 0.89%
1,180,854
-315,037
-21% -$46M
PARA
34
DELISTED
Paramount Global Class B
PARA
$177M 0.88%
3,146,005
+285,457
+10% +$14.9M
AAPL icon
35
Apple
AAPL
$4.46T
$177M 0.88%
3,816,640
+223,084
+6% +$10.1M
UNM icon
36
Unum
UNM
$14.3B
$176M 0.87%
4,753,433
+739,037
+18% +$30.8M
FL
37
DELISTED
Foot Locker
FL
$173M 0.86%
3,287,156
+67,060
+2% +$3.25M
INTU icon
38
Intuit
INTU
$87.1B
$172M 0.85%
840,118
+240
+0% +$46K
MRSH
39
Marsh
MRSH
$92B
$170M 0.85%
2,075,578
+383,166
+23% +$31.3M
BNY
40
Bank of New York Mellon
BNY
$106B
$165M 0.82%
3,058,254
+144,512
+5% +$7.97M
PFE icon
41
Pfizer
PFE
$143B
$160M 0.8%
4,655,023
+133,416
+3% +$4.56M
SPGI icon
42
S&P Global
SPGI
$123B
$158M 0.79%
775,226
+850
+0.1% +$168K
AFL icon
43
Aflac
AFL
$64.5B
$156M 0.78%
3,637,570
+178,530
+5% +$8.02M
GS icon
44
Goldman Sachs
GS
$303B
$155M 0.77%
704,170
+551,181
+360% +$131M
TRU icon
45
TransUnion
TRU
$15.3B
$152M 0.76%
2,126,235
+650,036
+44% +$43.3M
TIF
46
DELISTED
Tiffany & Co.
TIF
$152M 0.75%
1,153,418
-740,357
-39% -$84.5M
LEA icon
47
Lear
LEA
$6.27B
$149M 0.74%
802,200
+55,277
+7% +$10.8M
CMCSA icon
48
Comcast
CMCSA
$87.2B
$146M 0.73%
4,448,509
+322,926
+8% +$10.5M
CVX icon
49
Chevron
CVX
$385B
$144M 0.71%
+1,137,543
New +$141M
WRK
50
DELISTED
WestRock Company
WRK
$141M 0.7%
2,464,357
+108,110
+5% +$6.63M

Similar funds

Ninety One (UK)'s Q2 2018 Portfolio in Review

As of Q2 2018, Ninety One (UK) held 292 positions worth $20.1B, up 7.8% from $18.7B the previous quarter. Its ten largest holdings account for 27% of the portfolio.

Ninety One (UK) deployed $842M of net new capital in Q2 2018, opening 54 new positions and adding to 108 existing holdings. Its largest new stake was Broadcom: 13,600,620 shares worth $330M.

By sector, the portfolio is most concentrated in Financials at 23% of assets, down from 24% a quarter earlier, followed by Technology and Consumer Discretionary.

On the sell side, the largest reduction was Scotiabank, an estimated $105M trimmed.

  • Ninety One (UK)'s largest Q2 2018 buy was Broadcom: 13,600,620 shares worth $330M.
  • Ninety One (UK) added most to Merck in Q2 2018, an estimated $179M increase.
  • Ninety One (UK)'s biggest Q2 2018 reduction was Scotiabank, cutting an estimated $105M.
  • Ninety One (UK) fully exited Meta Platforms (Facebook) in Q2 2018, selling an estimated $246M.
  • Ninety One (UK)'s ten largest holdings make up 27% of its $20.1B portfolio in Q2 2018.
  • Ninety One (UK) opened 54 new positions and closed 33 in Q2 2018.
  • Ninety One (UK)'s portfolio value rose 7.8% quarter-over-quarter to $20.1B.

Based on Ninety One (UK)'s 13F filing for Q2 2018, filed 10 Aug 2018.