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STOCK TICKER:

MAJOR GURUS:
David Einhorn
Bill Ackman
Bill Miller
Steven Cohen
Jim Simons

SCHRODER INVESTMENT MANAGEMENT GROUP INSTITUTION : SCHRODER INVESTMENT MANAGEMENT GROUP
SCHRODER INVESTMENT MANAGEMENT GROUP Portfolio (reported on 2020-02-11)
Company (links to holding history) Ticker Value On
2019-12-31
No of Shares % of portfolio
ALIBABA GROUP HOLDING LIMITED SPONSORED ADR (EACH REPRESENTS 1 ORDINARY SHARES USD0.000025)    (ADR) BABA 5,228,414,000 24,650,702 8.51%
MICROSOFT CORPORATION COMMON STOCK USD0.0000125    (COM) MSFT 1,113,901,000 7,063,410 1.81%
APPLE INCORPORATED COMMON STOCK NPV    (COM) AAPL 947,200,000 3,225,609 1.54%
ALPHABET INCORPORATED CL A NPV    (COM) GOOGL 943,187,000 704,191 1.53%
INTEL CORP    (COM) INTC 743,531,000 12,423,277 1.21%
ITAU UNIBANCO HOLDING SA ADR (EACH REPRESENTS 1 PREFERENCE SHARE)    (ADR) ITU 737,364,000 80,586,285 1.20%
JPMORGAN CHASE AND COMPANY COMMON STOCK USD1    (COM) JPM 735,636,000 5,277,165 1.19%
TAIWAN SEMICONDUCTOR MANUFACTURING COMPANY LIMITED ADS REPRESENTING 5 COMMON SHARES    (ADR) TSM 709,911,000 12,218,777 1.15%
MERCK AND COMPANY INCORPORATED NEW COMMON STOCK USD0.01    (COM) MRK 642,346,000 7,062,619 1.04%
FACEBOOK INCORPORATED CLASS A COMMON STOCK USD0.000006    (COM) FB 639,742,000 3,116,896 1.04%
VISA INC-CLASS A SHARES    (COM) V 639,335,000 3,402,543 1.04%
JOHNSON & JOHNSON    (COM) JNJ 632,634,000 4,337,106 1.03%
AMAZON.COM INC    (COM) AMZN 632,147,000 342,103 1.02%
BORR DRILLING LIMITED AED0.01    (COM) 629,673,000 8,311,424 1.02%
CISCO SYSTEMS INC    (COM) CSCO 523,379,000 10,913,016 0.85%
UNITEDHEALTH GROUP INC    (COM) UNH 520,846,000 1,771,733 0.84%
NETEASE INCORPORATED ADR (EACH REPRESENTS 25 SHARES USD0.0001)    (ADR) NTES 517,779,000 1,688,556 0.84%
PROCTER & GAMBLE CO/THE    (COM) PG 511,217,000 4,093,183 0.83%
HOME DEPOT INCORPORATED (THE) COMMON STOCK USD0.05    (COM) HD 486,185,000 2,226,325 0.79%
BOOKING HOLDINGS INCORPORATED COMMON STOCK USD0.008    (COM) 471,483,000 229,574 0.76%
NEW ORIENTAL EDUCATION & TECHNOLOGY GROUP INCORPORATED SPONSORED ADR USD0.01 (EACH REPRESENTS 1    (ADR) EDU 468,212,000 3,861,538 0.76%
INTL BUSINESS MACHINES CORPORATION COMMON STOCK USD0.20    (COM) IBM 411,675,000 3,071,289 0.67%
ISHARES TRUST CORE SnP 500 ETF    (ETF) IVV 406,047,000 1,256,177 0.66%
PHILIP MORRIS INTERNATIONAL INCORPORATED COMMON STOCK NPV    (COM) PM 400,332,000 4,704,803 0.65%
COMCAST CORPORATION CLASS A COMMON STOCK USD1    (COM) CMCSA 400,124,000 8,897,603 0.65%
ADOBE INCORPORATED NPV    (COM) ADBE 395,378,000 1,198,803 0.64%
FOMENTO ECONOMICO MEXICANO SP ADR (EACH REPRESENTS 10 ORDINARY SHARE)    (ADR) FMX 390,299,000 4,129,705 0.63%
BANK OF AMERICA CORPORATION COMMON STOCK USD0.01    (COM) BAC 383,055,000 10,876,085 0.62%
NUTRIEN LIMITED COMMON NPV    (COM) 380,823,000 6,291,800 0.62%
ORACLE CORPORATION COMMON STOCK USD0.01    (COM) ORCL 371,591,000 7,013,802 0.60%
TEXAS INSTRUMENTS INCORPORATED COMMON STOCK USD1    (COM) TXN 369,502,000 2,880,215 0.60%
UNION PACIFIC CORPORATION COMMON STOCK USD2.50    (COM) UNP 361,393,000 1,998,962 0.58%
VANGUARD INDEX FUNDS S&P 500 ETF    (ETF) VOO 357,966,000 1,210,160 0.58%
PFIZER INC    (COM) PFE 352,824,000 9,005,394 0.57%
AMGEN INCORPORATED COMMON STOCK USD0.0001    (COM) AMGN 349,041,000 1,447,881 0.56%
HDFC BANK LIMITED ADR (EACH REPRESENTING 3 ORDINARY)    (ADR) HDB 342,743,000 5,408,599 0.55%
PETROLEO BRASILEIRO - PETROBRAS ADS (EACH REPRESENTING 2 COMMON SHARES)    (ADR) PBR 312,946,000 19,632,716 0.50%
IQIYI INCORPORATED ADR (EACH REPRESENTS 7 ORDINARY SHARES)    (ADR) 301,637,000 14,288,834 0.49%
HUAZHU GROUP LIMITED ADR NPV (EACH REPRESENTS 1 ORDINARY SHARE)    (ADR) 297,018,000 7,412,470 0.48%
WEIBO CORPORATION SPONSERED ADR(EACH REPRESENTS 1 ORDINARY SHARE)    (ADR) WB 285,152,000 6,152,141 0.46%
MEDTRONIC PLC USD0.10    (COM) MDT 283,316,000 2,497,269 0.46%
DANAHER CORPORATION COMMON STOCK USD0.01    (COM) DHR 281,461,000 1,833,860 0.45%
TORONTO-DOMINION BANK (THE) COMMON NPV    (COM) TD 278,829,000 3,828,495 0.45%
THERMO FISHER SCIENTIFIC INCORPORATED COMMON STOCK USD1    (COM) TMO 278,400,000 856,959 0.45%
3M CO    (COM) MMM 276,774,000 1,568,840 0.45%
BRISTOL-MYERS SQUIBB COMPANY COMMON STOCK USD0.10    (COM) BMY 273,737,000 4,264,491 0.44%
CHECK POINT SOFTWARE TECHNOLOGIES LIMITED ILS1    (COM) CHKP 268,388,000 2,418,770 0.43%
COCA-COLA CO/THE    (COM) KO 265,024,000 4,788,253 0.43%
ELI LILLY AND COMPANY COMMON STOCK NPV    (COM) LLY 258,971,000 1,970,403 0.42%
MERCADOLIBRE INCORPORATED COMMON STOCK USD0.001    (COM) MELI 253,018,000 442,387 0.41%
ABBVIE INCORPORATED COMMON STOCK USD0.01    (COM) ABBV 245,379,000 2,771,398 0.39%
ROCKWELL AUTOMATION INCORPORATED COMMON STOCK USD1    (COM) ROK 244,946,000 1,208,596 0.39%
CREDICORP LIMITED COMMON STOCK USD5 (US LISTING)    (COM) BAP 243,214,000 1,141,156 0.39%
HCA HEALTHCARE INCORPORATED COMMON STOCK USD0.01    (COM) HCA 239,563,000 1,620,742 0.39%
ACCENTURE PLC CLASS A NEW COMMON STOCK USD0.0000225    (COM) ACN 235,457,000 1,118,184 0.38%
ALPHABET INCORPORATED-CL C NPV    (COM) GOOG 231,816,000 173,382 0.37%
VALE DO RIO DOCE (CIA) SPONSORED ADR (REPRESENTING 1 ORDINARY NPV)    (ADR) VALE 219,716,000 16,645,132 0.35%
PETROL BRASILEIRO-PETROBRAS SA SPONSORED ADR (EACH REPRESENTS 2 PREFERENCE SHARE NPV)    (ADR) PBR.A 214,041,000 14,345,876 0.34%
KIMBERLY-CLARK CORPORATION COMMON STOCK USD1.25    (COM) KMB 205,184,000 1,491,708 0.33%
ANTHEM INCORPORATED COMMON STOCK USD0.01    (COM) ANTM 203,439,000 673,571 0.33%
ILLINOIS TOOL WORKS INC COMMON STOCK NPV    (COM) ITW 202,701,000 1,128,430 0.33%
ICICI BANK LIMITED SPONSORED ADR (EACH REPRESENTS 2 ORDINARY INR10)    (ADR) IBN 202,419,000 13,414,031 0.32%
51JOBS INCORPORATED ADR (EACH REPRESENTS 2 ORDINARY USD0.0001)    (ADR) JOBS 195,156,000 2,298,657 0.31%
JD.COM INCORPORATED ADR (EACH REPRESENTING 2 SHARES)    (ADR) JD 194,779,000 5,528,790 0.31%
EBAY INCORPORATED COMMON STOCK USD0.001    (COM) EBAY 192,686,000 5,336,091 0.31%
INFOSYS LIMITED SPONSORED ADR (EACH REPRESENTS 1 ORDINARY INR5)    (ADR) INFY 192,275,000 18,631,246 0.31%
HP INCORPORATED COMMON STOCK USD0.01    (COM) HPQ 186,981,000 9,098,880 0.30%
GILEAD SCIENCES INCORPORATED COMMON STOCK USD0.001    (COM) GILD 185,468,000 2,854,231 0.30%
MASTERCARD INCORPORATED CLASS A COMMON STOCK USD0.0001    (COM) MA 185,441,000 621,058 0.30%
DISCOVER FINANCIAL SERVICES COMMON STOCK USD0.01    (COM) DFS 184,155,000 2,171,120 0.29%
OMNICOM GROUP INC COMMON STOCK USD0.15    (COM) OMC 182,024,000 2,246,664 0.29%
CHEVRON CORPORATION COMMON STOCK USD0.75    (COM) CVX 181,628,000 1,507,160 0.29%
PEPSICO INCORPORATED CAPITAL STOCK USD0.016666    (COM) PEP 179,724,000 1,315,018 0.29%
NIKE INCORPORATED CLASS B COMMON STOCK NPV    (COM) NKE 174,125,000 1,718,741 0.28%
INTUIT INC COMMON STOCK USD0.01    (COM) INTU 173,563,000 662,630 0.28%
COGNIZANT TECHNOLOGY SOLUTIONS CORPORATION CLASS A COMMON STOCK USD0.01    (COM) CTSH 169,939,000 2,740,070 0.27%
TECHNIPFMC LTD USD1    (COM) 168,229,000 8,878,789 0.27%
HERSHEY COMPANY (THE) COMMON STOCK USD1    (COM) HSY 164,360,000 1,118,247 0.26%
PAGSEGURO DIGITAL LIMITED COMMON STOCK NPV    (COM) 163,334,000 4,781,425 0.26%
COLGATE-PALMOLIVE COMPANY COMMON STOCK USD1    (COM) CL 161,945,000 2,352,488 0.26%
MANULIFE FINANCIAL CORPORATION COMMON NPV (CANADIAN LISTING)    (COM) MFC 161,583,000 6,129,863 0.26%
AUTOZONE INCORPORATED COMMON STOCK USD0.01    (COM) AZO 159,471,000 133,861 0.25%
VERIZON COMMUNICATIONS INCORPORATED COMMON STOCK USD0.10    (COM) VZ 158,805,000 2,586,400 0.25%
AT AND T INCORPORATED COMMON STOCK USD1    (COM) T 158,700,000 4,060,902 0.25%
YUM CHINA HOLDINGS INCORPORATED COMMON STOCK USD0.01    (COM) 157,221,000 3,274,754 0.25%
VIPSHOP HOLDINGS LIMITED SPONSORED ADR (EACH REPRESENTS 0.2 ORDINARY SHARES USD0.0001)    (ADR) VIPS 153,476,000 10,831,090 0.25%
NASDAQ INCORPORATED COMMON STOCK USD0.01    (COM) NDAQ 151,271,000 1,412,424 0.24%
UBS GROUP AG CHF0.10 (REGISTERED)    (COM) UBS 150,728,000 12,329,442 0.24%
MCDONALD'S CORP    (COM) MCD 149,170,000 754,881 0.24%
UNITED TECHNOLOGIES CORPORATION COMMON STOCK USD1    (COM) UTX 146,951,000 981,246 0.23%
WALT DISNEY COMPANY (THE) COMMON STOCK USD0.01    (COM) DIS 146,319,000 1,011,680 0.23%
BIOGEN INCORPORATED COMMON STOCK USD0.0005    (COM) BIIB 144,244,000 486,109 0.23%
SINA CORPORATION COMMON STOCK USD0.133    (COM) SINA 141,793,000 3,551,056 0.23%
AMDOCS LIMITED ORDINARY 1P (US LISTING)    (COM) DOX 139,782,000 1,936,308 0.22%
T-MOBILE US INCORPORATED COMMON STOCK USD0.0001    (COM) TMUS 139,701,000 1,781,439 0.22%
AMERICAN INTERNATIONAL GROUP INCORPORATED COMMON STOCK USD2.50    (COM) AIG 135,322,000 2,636,318 0.22%
TERNIUM SA ADR (EACH REPRESENTS 10 ORDINARY NPV)    (ADR) TX 133,277,000 6,058,037 0.21%
BROADCOM INCORPORATED COMMON STOCK NPV    (COM) 133,023,000 420,932 0.21%
FIDELITY NATIONAL INFORMATION INCORPORATED COMMON STOCK USD0.01    (COM) FIS 128,886,000 926,639 0.20%
MICRON TECHNOLOGY INCORPORATED COMMON STOCK USD0.10    (COM) MU 127,921,000 2,378,612 0.20%
AFLAC INCORPORATED COMMON STOCK USD0.10    (COM) AFL 127,028,000 2,401,288 0.20%
JINKOSOLAR HOLDING COMPANY LIMITED ADR (EACH REP 2 ORDINARY)    (ADR) JKS 119,020,000 5,292,121 0.19%
CUMMINS INCORPORATED COMMON STOCK USD2.50    (COM) CMI 118,326,000 661,186 0.19%
CANADIAN NATIONAL RAILWAY COMMON STOCK NPV    (COM) CNI 117,854,000 1,003,267 0.19%
CLOROX COMPANY COMMON STOCK USD1    (COM) CLX 115,878,000 754,709 0.18%
STRYKER CORP COM STK USD0.10    (COM) SYK 115,766,000 551,426 0.18%
CATALENT INCORPORATED COMMON STOCK USD0.01    (COM) CTLT 115,621,000 2,053,662 0.18%
BLOCK(H & R) INC COM STK NPV    (COM) HRB 113,327,000 4,826,519 0.18%
EQUITY LIFESTYLE PROPERTIES INCORPORATED REIT USD0.01    (REIT) ELS 112,451,000 1,597,536 0.18%
BRUNSWICK CORPORATION COMMON STOCK USD0.75    (COM) BC 111,150,000 1,853,117 0.18%
ENTEGRIS INCORPORATED COMMON STOCK USD0.01    (COM) ENTG 110,503,000 2,206,108 0.18%
HONEYWELL INTERNATIONAL INCORPORATED COMMON STOCK USD1    (COM) HON 110,364,000 623,523 0.17%
ASSURANT INCORPORATED COMMON STOCK USD0.01    (COM) AIZ 110,354,000 841,886 0.17%
FORTUNE BRANDS HOME AND SECURITY INCORPORATED COMMON STOCK USD0.01    (COM) FBHS 110,252,000 1,687,371 0.17%
MAGNA INTERNATIONAL INCORPORATED SUB-VOTING COMMON NPV    (COM) MGA 108,620,000 1,525,551 0.17%
ROPER TECHNOLOGIES INCORPORATED COMMON STOCK USD0.01    (COM) ROP 106,667,000 301,123 0.17%
CABOT OIL & GAS CORPORATION COMMON STOCK USD0.10    (COM) COG 106,491,000 6,116,645 0.17%
ALEXANDRIA REAL ESTATE EQUITIES INCORPORATED REIT USD0.01    (REIT) ARE 106,332,000 658,073 0.17%
IDEX CORPORATION COMMON STOCK USD0.01    (COM) IEX 106,195,000 617,411 0.17%
C.H. ROBINSON WORLDWIDE INCORPORATED COMMON STOCK USD0.10    (COM) CHRW 106,076,000 1,356,471 0.17%
REINSURANCE GROUP OF AMERICA INCORPORATED COMMON STOCK USD0.01    (COM) RGA 105,935,000 649,667 0.17%
Globe Life Inc COMMON USD1.000000    (COM) 104,307,000 991,043 0.16%
CHUBB LIMITED COMMON STOCK CHF24.77    (COM) CB 103,785,000 666,741 0.16%
STARBUCKS CORPORATION COMMON STOCK USD0.001    (COM) SBUX 103,691,000 1,179,375 0.16%
QUEST DIAGNOSTICS INCORPORATED COMMON STOCK USD0.01    (COM) DGX 102,872,000 963,315 0.16%
WESTERN UNION COMPANY (THE) COMMON STOCK USD0.01    (COM) WU 102,124,000 3,813,453 0.16%
YANDEX NV CLASS A USD0.01 (US LISTING)    (COM) YNDX 99,503,000 2,287,937 0.16%
DICK'S SPORTING GOODS INCORPORATED COMMON STOCK USD0.001    (COM) DKS 99,398,000 2,008,436 0.16%
BERKSHIRE HATHAWAY INCORPORATED CLASS B COMMON STOCK USD0.0033    (COM) BRK/B 97,876,000 432,121 0.15%
ON SEMICONDUCTOR CORPORATION COMMON STOCK USD0.01    (COM) ONNN 97,860,000 4,013,943 0.15%
CGI INC COM NPV SUBORD VOTING SHARES CLASS A    (COM) 97,744,000 899,456 0.15%
EXXON MOBIL CORPORATION COMMON STOCK NPV    (COM) XOM 97,511,000 1,397,413 0.15%
ISHARES TRUST IBOXX HIGH YIELD CORPORATE BOND ETF    (ETF) HYG 97,488,000 1,108,569 0.15%
CANADIAN SOLAR INCORPORATED COMMON NPV (US LISTING)    (COM) CSIQ 96,720,000 4,376,459 0.15%
LOGITECH INTERNATIONAL SA CHF0.25 (REGISTERED)    (COM) LOGI 96,712,000 2,110,214 0.15%
LYONDELLBASELL INDUSTRIES NV CLASS A COMMON STOCK USD0.01    (COM) LALLF 95,897,000 1,014,989 0.15%
HEXCEL CORPORATION COMMON STOCK NPV    (COM) HXL 95,707,000 1,305,511 0.15%
CITIGROUP INCORPORATED COMMON STOCK USD0.01    (COM) C 95,686,000 1,197,724 0.15%
ABBOTT LABORATORIES COMMON STOCK NPV    (COM) ABT 95,193,000 1,095,924 0.15%
ASHLAND GLOBAL HOLDINGS INCORPORATED COMMON STOCK NPV    (COM) 94,611,000 1,236,266 0.15%
PRICE T.ROWE GROUP INCORPORATED COMMON STOCK USD0.20    (COM) TROW 94,058,000 771,981 0.15%
CITRIX SYSTEMS INCORPORATED COMMON STOCK USD0.001    (COM) CTXS 93,907,000 846,774 0.15%
PERFORMANCE FOOD GROUP CO COMMON STOCK USD0.010000    (COM) PFGC 93,728,000 1,820,670 0.15%
NORDSTROM INCORPORATED COMMON STOCK NPV    (COM) JWN 93,184,000 2,276,647 0.15%
SPDR SnP 500 ETF TRUST    (ETF) SPY 92,827,000 288,410 0.15%
AMERICAN FINANCIAL GROUP INCORPORATED COMMON STOCK NPV    (COM) AFG 92,601,000 844,519 0.15%
PAYCHEX INCORPORATED COMMON STOCK USD0.01    (COM) PAYX 92,206,000 1,084,008 0.15%
BROWN & BROWN INCORPORATED COMMON STOCK USD0.10    (COM) BRO 92,131,000 2,333,615 0.15%
BANCOLOMBIA SA SPONSORED ADR (EACH REPRESENTS 4 PREFERENCE COP500)    (ADR) CIB 91,551,000 1,670,943 0.14%
NEXTERA ENERGY INCORPORATED COMMON STOCK USD0.01    (COM) NEE 91,347,000 377,218 0.14%
AUTOMATIC DATA PROCESSING INCORPORATED COMMON STOCK USD0.10    (COM) ADP 91,313,000 535,555 0.14%
GRAPHIC PACKAGING HOLDING COMPANY COMMON STOCK USD0.01    (COM) GPK 91,214,000 5,478,317 0.14%
FORTIVE CORPORATION COMMON STOCK USD0.01    (COM) FTV 90,716,000 1,187,541 0.14%
VERISK ANALYTICS INC COMMON STOCK USD0.001    (COM) VRSK 90,585,000 606,569 0.14%
WESTERN ALLIANCE BANCORP COMMON STOCK USD0.0001    (COM) WAL 90,210,000 1,582,629 0.14%
AMETEK INC COMMON STOCK USD0.01    (COM) AME 89,908,000 901,420 0.14%
ENCOMPASS HEALTH CORPORATION COMMON STOCK USD0.01    (COM) 89,179,000 1,287,415 0.14%
BANCO SANTANDER-CHILE SA ADR (EACH 1 REPRESENTS 400 COMMON SHARES)    (ADR) SAN 88,963,000 3,856,198 0.14%
DIAGEO PLC SPONSORED ADR (EACH REPRESENTING 4 ORDINARY GBP0.28)    (ADR) DEO 88,853,000 527,566 0.14%
FISERV INCORPORATED COMMON STOCK USD0.01    (COM) FISV 88,590,000 766,146 0.14%
EMERSON ELECTRIC COMPANY COMMON STOCK USD1    (COM) EMR 88,311,000 1,158,035 0.14%
GENTEX CORPORATION COMMON STOCK USD0.06    (COM) GNTX 87,918,000 3,033,764 0.14%
AMERICA MOVIL SAB DE CV ADR (EACH REPRESENTS 20 SERIES 'L' SHARES)    (ADR) AMX 86,211,000 5,388,158 0.14%
ESTEE LAUDER COMPANIES INC CLASS'A'COM STK USD0.01    (COM) EL 86,042,000 416,582 0.14%
VALMONT INDUSTRIES INCORPORATED COMMON STOCK USD1    (COM) VMI 84,694,000 565,456 0.13%
SABRE CORPORATION COMMON STOCK USD0.01    (COM) SABR 84,646,000 3,772,125 0.13%
WELLS FARGO AND COMPANY COMMON STOCK USD1.6667    (COM) WFC 84,563,000 1,571,786 0.13%
OPEN TEXT CORPORATION COMMON NPV    (COM) OTEX 83,818,000 1,464,831 0.13%
ALLEGION PLC COMMON STOCK USD0.01    (COM) ALLE 83,525,000 670,673 0.13%
DOLBY LABORATORIES INCORPORATED CLASS 'A' COMMON STOCK USD0.001    (COM) DLB 83,460,000 1,213,085 0.13%
HUBBELL INCORPORATED COMMON STOCK USD0.01    (COM) 83,261,000 563,263 0.13%
WATERS CORPORATION COMMON STOCK USD0.01    (COM) WAT 82,559,000 353,345 0.13%
FACTSET RESEARCH SYSTEMS INCORPORATED COMMON STOCK USD0.01    (COM) FDS 82,376,000 307,031 0.13%
SNAP-ON INCORPORATED COMMON STOCK USD1    (COM) SNA 80,979,000 478,037 0.13%
PENTAIR PLC COMMON STOCK USD0.167    (COM) PNR 80,763,000 1,760,700 0.13%
PNC FINANCIAL SERVICES GROUP COMMON STOCK USD5    (COM) PNC 80,295,000 503,006 0.13%
KAR AUCTION SERVICES INCORPORATED COMMON STOCK USD0.01    (COM) KAR 79,459,000 3,646,610 0.12%
FORD MOTOR COMPANY COMMON STOCK USD0.01    (COM) F 78,040,000 8,391,366 0.12%
SCHLUMBERGER LIMITED COMMON STOCK USD0.01    (COM) SLB 77,775,000 1,934,728 0.12%
TERRENO REALTY CORPORATION REIT USD0.01    (REIT) TRNO 77,290,000 1,427,601 0.12%
ZIMMER BIOMET HOLDINGS INCORPORATED COMMON STOCK USD0.01    (COM) ZMH 77,242,000 516,045 0.12%
CHURCH & DWIGHT COMPANY INCORPORATED COMMON STOCK USD1    (COM) CHD 77,135,000 1,096,598 0.12%
RED ROCK RESORTS INCORPORATED CLASS A COMMON STOCK USD0.01    (COM) 76,678,000 3,201,575 0.12%
LKQ CORPORATION COMMON STOCK USD0.01    (COM) LKQX 76,650,000 2,147,053 0.12%
BROADRIDGE FINANCIAL SOLUTIONS INCORPORATED COMMON STOCK USD0.01    (COM) BR 76,175,000 616,601 0.12%
SUN LIFE FINANCIAL INCORPORATED COMMON NPV    (COM) SLF 76,059,000 1,284,572 0.12%
CANADIAN IMPERIAL BANK OF COMMERCE COMMON NPV    (COM) CM 75,908,000 702,693 0.12%
PRUDENTIAL FINANCIAL INCORPORATED COMMON STOCK USD0.01    (COM) PRU 75,790,000 808,512 0.12%
WASTE MANAGEMENT INCORPORATED COMMON STOCK USD0.01    (COM) WMI 75,787,000 665,029 0.12%
DOUGLAS EMMETT INCORPORATED REIT USD0.01    (REIT) DEI 75,648,000 1,723,182 0.12%
COMMERCE BANCSHARES INCORPORATED COMMON STOCK USD5    (COM) CBSH 75,556,000 1,112,109 0.12%
HEWLETT PACKARD ENTERPRISE COMMON STOCK USD0.01    (COM) HPE 75,369,000 4,752,129 0.12%
VALVOLINE INCORPORATED COMMON STOCK USD0.01    (COM) VVV 75,220,000 3,513,340 0.12%
EXTENDED STAY AMERICA INC COMMON STOCK NPV    (COM) STAY 75,165,000 5,058,193 0.12%
MASIMO CORPORATION COMMON STOCK USD0.001    (COM) MASI 74,212,000 469,520 0.12%
SEAGATE TECHNOLOGY PLC COMMON STOCK USD0.00001    (COM) STX 73,914,000 1,242,261 0.12%
MOHAWK INDUSTRIES INCORPORATED COMMON STOCK USD0.01    (COM) MHK 72,685,000 532,962 0.11%
SIMON PROPERTY GROUP INCORPORATED REIT USD0.0001    (REIT) SPG 72,533,000 486,923 0.11%
DENTSPLY INTERNATIONAL INCORPORATED COMMON STOCK USD 0.01    (COM) 72,297,000 1,277,548 0.11%
CIENA CORPORATION COMMON STOCK USD0.01    (COM) CIEN 71,328,000 1,670,844 0.11%
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Total Value As 2019-12-31: 61,386,011,000 SEC FILING
* Portfolios do not reflect changes after reporting
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Investing Just Like
SCHRODER INVESTMENT MANAGEMENT GROUP

Matching performance of SCHRODER INVESTMENT MANAGEMENT GROUP by investing same stocks.

Get the number of shares each stock for investing:





MAJOR GURUS:
Warren Buffett
John Paulson
George Soros

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