Filer Name: SCHRODER INVESTMENT MANAGEMENT GROUP
CIK: 1086619
Period: 2024-12-31
Filed At: 2025-02-12
Number of Holdings: 1,193
Portfolio Value: $104.37B

Schroder Investment Management Group Top Holdings

Ticker Exchange Security Shares Value % of Portfolio Position Change Put/Call
MSFT US MICROSOFT CORP 13,327,049 $5,617M 5.38% 6.1% -
NVDA US NVIDIA CORP 34,257,095 $4,600M 4.41% 9.1% -
GOOGL US ALPHABET INC-CL A 23,396,772 $4,429M 4.24% 2.5% -
AAPL US APPLE INC 15,891,824 $3,980M 3.81% 17.3% -
AMZN US AMAZON.COM INC 13,971,998 $3,065M 2.94% 11.6% -
META US META PLATFORMS INC-CLASS A 4,309,806 $2,523M 2.42% 12.8% -
V US VISA INC-CLASS A SHARES 6,641,045 $2,099M 2.01% 10.8% -
BKNG US BOOKING HOLDINGS INC 344,230 $1,710M 1.64% -9.0% -
AVGO US BROADCOM INC 6,530,721 $1,514M 1.45% 5.8% -
JPM US JPMORGAN CHASE & CO 6,138,808 $1,469M 1.41% 6.8% -
NFLX US NETFLIX INC 1,498,474 $1,336M 1.28% 12.4% -
TSM US TAIWAN SEMICONDUCTOR-SP ADR 6,558,114 $1,314M 1.26% -11.0% -
LLY US ELI LILLY & CO 1,686,582 $1,302M 1.25% 0.3% -
MA US MASTERCARD INC - A 1,965,409 $1,035M 0.99% 8.3% -
UNH US UNITEDHEALTH GROUP INC 2,003,762 $1,014M 0.97% -2.7% -
CRM US SALESFORCE INC 2,989,116 $999M 0.96% -0.7% -
TSLA US TESLA INC 2,351,851 $950M 0.91% 75.0% -
MS US MORGAN STANLEY 7,282,156 $916M 0.88% 50.8% -
ADBE US ADOBE INC 2,024,046 $900M 0.86% -7.0% -
TMO US THERMO FISHER SCIENTIFIC INC 1,678,980 $873M 0.84% 4.3% -
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