Sarasin Asset Management Ltd

Taken From the combined 2020-06-30 13F-HR Filing of SARASIN & PARTNERS LLP

Stock Symbol Security Type Shares Market Value
Microsoft Corp. MSFT SH 1198163 243.838 Million
Colgate-Palmolive Co. CL SH 3305185 242.138 Million
Amazon.com Inc. AMZN SH 84739 233.78 Million
Equinix Inc EQIX SH 326986 229.642 Million
Amgen, Inc. AMGN SH 966165 227.88 Million
CME Group Inc CME SH 1397591 227.164 Million
Mastercard Inc MA SH 746544 220.753 Million
Ecolab Inc. ECL SH 1095329 217.916 Million
Accenture Plc ACN SH 970250 208.332 Million
Home Depot, Inc. (The) HD SH 812653 203.578 Million
Taiwan Semiconductor Manufacturing Co Ltd ADR TSM SH 3326212 188.829 Million
Deere & Co. DE SH 1054063 165.646 Million
NextEra Energy Inc. NEE SH 659893 158.487 Million
United Parcel Service, Inc. Class B UPS SH 1376491 153.038 Million
Alibaba Group Holding Ltd ADR BABA SH 695365 149.99 Million
JPMorgan Chase & Co. (Chemical Bank) JPM SH 1576371 148.274 Million
Broadcom Ltd. (Avago Technologies) AVGO SH 469420 148.154 Million
Alphabet Inc. Class C GOOG SH 103479 146.279 Million
Aramark ARMK SH 6331019 142.891 Million
Merck & Co MRK SH 1814710 140.332 Million
Otis Worldwide Corp OTIS SH 2220859 126.278 Million
Medtronic Plc MDT SH 1343315 123.182 Million
Splunk Inc SPLK SH 557156 110.707 Million
Service Corp. International, Inc. SCI SH 2705313 105.21 Million
Moodys Corp MCO SH 360778 99.117 Million
Apple Inc AAPL SH 268401 97.913 Million
Crown Castle International Corp CCI SH 584014 97.735 Million
iShares MSCI ACWI ETF-iShares MSCI ACWI ETF ACWI SH 1302245 96.002 Million
First Republic Bank (CA) FRC SH 905708 95.996 Million
Credicorp Ltd ADR BAP SH 697486 93.233 Million
BlackRock Inc. Class A BLK SH 162191 88.247 Million
Costco Co. COST SH 276760 83.916 Million
Walt Disney Co. (The) DIS SH 614253 68.495 Million
Charter Communications Inc CHTR SH 130501 66.561 Million
Weyerhaeuser Corp. WY SH 2925516 65.707 Million
ServiceNow Inc NOW SH 161262 65.321 Million
TE Connectivity Ltd TEL SH 743776 60.655 Million
Pfizer, Inc. PFE SH 1773378 57.989 Million
Booking Holdings Inc. (Priceline) BKNG SH 36018 57.353 Million
Texas Instruments, Inc. TXN SH 381629 48.455 Million
Marriott International Inc/MD MAR SH 413418 35.442 Million
Alphabet Inc. Class A GOOGL SH 23772 33.71 Million
Raytheon Technologies Corp RTX SH 347756 21.429 Million
SPDR Gold Trust GLD SH 40968 6.857 Million
iShares iBoxx $ Investment Grade Corporate Bond ETF-iShares iBoxx $ Investment Grade Corporate Bond ETF LQD SH 26510 3.566 Million
VANGUARD TOTAL BOND MARKET INDEX FUND-Institutional Select Shares VTBSX SH 25160 2.223 Million
Verizon Communications (Bell Atlantic Corp.) VZ SH 13089 722 Thousand

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