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Portfolio diff

Ninety One UK Ltd

Q1 2026 ⇄ Q2 2026

+57Added
−23Removed
185Resized
28Unchanged

Added (Q2 2026)

SecurityValueShares
IBKR Interactive Brokers… $457.72M5.26M
LTM Latam Airlines Group… $105.25M1.81M
LAUR Laureate Education Inc $103.80M2.86M
WSE Wise Group PLC $62.84M5.24M
VIK Viking Holdings Ltd $61.94M591.81K
FMX Fomento Economico… $61.66M482.08K
OGC OceanaGold Corp $57.09M2.28M
AYA Aya Gold & Silver Inc $53.55M2.83M
DSGX Descartes Systems… $44.31M640.01K
SU Suncor Energy Inc $35.28M656.04K
BKLN Invesco Senior Loan… $35.05M1.72M
ITUB Itau Unibanco Holding… $31.39M3.84M
ASR Grupo Aeroportuario… $23.78M77.52K
HAL Halliburton Co $22.88M673.93K
IGV iShares Expanded… $21.68M239.31K
G Genpact Ltd $18.07M657.13K
LRCX Lam Research Corp $17.36M40.07K
INFY Infosys Ltd $15.19M1.45M
MWH Solv Energy Inc $9.98M293.12K
SSMR Sunshine Silver… $9.14M691.44K
GAP Gap Inc/The $4.33M231.87K
HTHT H World Group Ltd $1.68M40.21K
UAE iShares MSCI UAE ETF $1.67M87.94K
ILMN Illumina Inc $628,9443.58K
RPRX Royalty Pharma PLC $534,7419.54K
EIX Edison International $527,1817.08K
UBER Uber Technologies Inc $515,9447.15K
GWW WW Grainger Inc $506,069372
MU Micron Technology Inc $494,037428
TME Tencent Music… $336,00540.24K
KO Coca-Cola Co/The $268,9233.31K
AMD Advanced Micro… $251,535433
EXPE Expedia Group Inc $248,972973
FAST Fastenal Co $200,4304.17K
CIEN Ciena Corp $191,810391
STX Seagate Technology… $179,490186
CW Curtiss-Wright Corp $175,043231
EFX Equifax Inc $173,7991.09K
REGN Regeneron… $166,486267
CAT Caterpillar Inc $163,995154
COLD Americold Realty… $137,3158.73K
WDC Western Digital Corp $135,410212
VRT Vertiv Holdings Co $132,589396
AMAT Applied Materials Inc $114,957159
MGA Magna International… $94,4601.44K
CAH Cardinal Health Inc $89,323376
TPR Tapestry Inc $77,143527
KLAC KLA Corp $63,963212
NTAP NetApp Inc $61,131395
MCHP Microchip Technology… $58,186638
NBIX Neurocrine… $45,673271
BIIB Biogen Inc $40,620188
HPE Hewlett Packard… $38,389851
DXCM Dexcom Inc $27,681411
MT ArcelorMittal SA $4,57776
BP BP PLC $4,398119
BTU Peabody Energy Corp $3,284142

Removed (was held in Q1 2026)

SecurityValue thenShares then
CNQ Canadian Natural… $58.07M1.19M
DASH DoorDash Inc $32.84M218.73K
LYB LyondellBasell… $30.69M380.95K
FTI TechnipFMC PLC $22.03M318.72K
LMT Lockheed Martin Corp $15.30M25.32K
GE General Electric Co $9.48M33.41K
SIRI Sirius XM Holdings Inc $7.90M342.09K
BEPC Brookfield Renewable… $7.30M183.39K
BIPC Brookfield… $6.95M175.84K
SRE Sempra $6.93M71.33K
FTS Fortis Inc/Canada $5.20M93.52K
AMT American Tower Corp $4.28M24.83K
HOG Harley-Davidson Inc $4.17M206.17K
NWL Newell Brands Inc $3.91M1.14M
AEP American Electric… $3.42M26.10K
RSG Republic Services Inc $3.11M14.19K
ED Consolidated Edison… $1.84M16.27K
WMT Walmart Inc $261,8582.11K
STM STMicroelectronics NV $148,6354.30K
VST Vistra Corp $129,435861
GDS GDS Holdings Ltd $128,7673.20K
ROKU Roku Inc $124,3311.31K
SQM Sociedad Quimica y… $1,37617

Resized positions

SecurityQ1 2026 sharesQ2 2026 sharesChange
TECK Teck Resources Ltd 26 170.84K +656980.8%
HMY Harmony Gold Mining Co… 133 675.69K +507937.6%
COST Costco Wholesale Corp 202 305.98K +151372.8%
APTV Aptiv PLC 2.08K 620.32K +29766.3%
BKNG Booking Holdings Inc 253.37K 6.43M +2435.9%
UNH UnitedHealth Group Inc 92.70K 1.10M +1090.3%
MELI MercadoLibre Inc 2.26K 19.13K +745.2%
LNG Cheniere Energy Inc 80.66K 502.64K +523.1%
HDB HDFC Bank Ltd 211.78K 915.06K +332.1%
BRX Brixmor Property Group… 2.91K 10.70K +267.5%
KGC Kinross Gold Corp 893.98K 2.74M +206.7%
SE Sea Ltd 55.40K 150.20K +171.1%
KSA iShares MSCI Saudi… 486.13K 1.08M +123.0%
AA Alcoa Corp 346.86K 136 -100.0%
EGO Eldorado Gold Corp 1.59M 3.14M +97.5%
RYAAY Ryanair Holdings PLC 311.62K 17.68K -94.3%
DVN Devon Energy Corp 464.04K 891.92K +92.2%
AEM Agnico Eagle Mines Ltd 119.17K 15.99K -86.6%
SCHW Charles Schwab Corp/The 578.21K 1.05M +82.0%
CPB Campbell's Company/The 59.60K 106.76K +79.1%
ZTS Zoetis Inc 1.11M 309.51K -72.2%
NU NU Holdings Ltd/Cayman… 8.23M 14.15M +71.9%
VCIT Vanguard… 311.75K 97.69K -68.7%
DHR Danaher Corp 32.40K 52.99K +63.5%
PLNT Planet Fitness Inc 2.81M 1.04M -63.1%
EA Electronic Arts Inc 4.18M 1.59M -61.9%
NOV NOV Inc 1.10M 1.76M +60.9%
NEE NextEra Energy Inc 3.03M 1.33M -56.1%
QCOM QUALCOMM Inc 1.97M 878.71K -55.4%
MMYT MakeMyTrip Ltd 117.89K 182.36K +54.7%
BSX Boston Scientific Corp 7.31M 3.50M -52.1%
HYG iShares iBoxx USD High… 42.86K 21.33K -50.2%
IGSB iShares 1-5 Year… 9.57K 4.77K -50.2%
ALB Albemarle Corp 10 15 +50.0%
FANG Diamondback Energy Inc 523.53K 267.09K -49.0%
NEM Newmont Corp 2.03M 1.04M -48.6%
MICC Magnum Ice Cream Co… 728.61K 1.07M +46.8%
CVX Chevron Corp 2.01M 2.95M +46.3%
VLO Valero Energy Corp 420.19K 246.98K -41.2%
FTNT Fortinet Inc 892.20K 538.96K -39.6%
ADBE Adobe Inc 193.22K 268.37K +38.9%
FRT Federal Realty… 6.57K 4.23K -35.6%
CP Canadian Pacific Kansas… 983.67K 633.49K -35.6%
DAR Darling Ingredients Inc 1.18M 771.64K -34.7%
GS Goldman Sachs Group… 352.78K 233.59K -33.8%
SLB SLB Ltd 1.02M 1.36M +33.7%
CSCO Cisco Systems Inc 106.40K 70.70K -33.6%
TTE TotalEnergies SE 1.46M 993.74K -32.1%
HURN Huron Consulting Group… 75.54K 99.09K +31.2%
COP ConocoPhillips 1.48M 1.03M -30.4%
MA Mastercard Inc 1.07M 745.30K -30.2%
RH CRH PLC 3.32M 2.34M -29.4%
TRGP Targa Resources Corp 215.63K 152.33K -29.4%
AER AerCap Holdings NV 2.81M 2.03M -27.7%
FUTU Futu Holdings Ltd 4.47K 5.69K +27.3%
INTU Intuit Inc 1.88M 2.37M +25.9%
AZN AstraZeneca PLC 2.05M 1.52M -25.8%
TEL TE Connectivity PLC 510.35K 380.17K -25.5%
NNN NNN REIT Inc 15.82K 11.85K -25.1%
NTR Nutrien Ltd 1.42M 1.78M +25.1%
HL Hecla Mining Co 3.71M 2.81M -24.2%
TRMB Trimble Inc 861.05K 653.40K -24.1%
RACE Ferrari NV 1.10M 838.31K -24.1%
WM Waste Management Inc 334.54K 256.24K -23.4%
STLD Steel Dynamics Inc 152.71K 117.06K -23.3%
HLT Hilton Worldwide… 93.66K 72.28K -22.8%
HST Host Hotels & Resorts… 26.12K 20.29K -22.3%
ARE Alexandria Real Estate… 10.84K 8.44K -22.1%
WST West Pharmaceutical… 119.23K 93.03K -22.0%
ACM AECOM 962.36K 752.34K -21.8%
WMB Williams Cos Inc/The 1.28M 999.25K -21.7%
SNX TD SYNNEX Corp 2.09M 1.65M -21.3%
CTRE CareTrust REIT Inc 4.35K 5.27K +21.0%
IAG IAMGOLD Corp 5.05M 4.02M -20.4%
INDA iShares MSCI India ETF 205.02K 246.44K +20.2%
ABT Abbott Laboratories 3.11M 2.48M -20.1%
GNRC Generac Holdings Inc 218.41K 261.86K +19.9%
PLD Prologis Inc 254.54K 204.92K -19.5%
USHY iShares Broad USD High… 2.29M 1.87M -18.6%
DOC Healthpeak Properties… 10.05K 11.88K +18.2%
UBS UBS Group AG 8.69M 7.13M -17.9%
GOOGL Alphabet Inc 8.27M 6.81M -17.7%
TXN Texas Instruments Inc 476.61K 392.35K -17.7%
GFI Gold Fields Ltd 98 81 -17.3%
VMI Valmont Industries Inc 161.92K 190.00K +17.3%
RGLD Royal Gold Inc 481.62K 563.74K +17.1%
AON Aon PLC 137.57K 161.01K +17.0%
TX Ternium SA 1.29M 1.07M -16.8%
PAAS Pan American Silver Corp 2.70M 2.25M -16.8%
CFG Citizens Financial… 6.77M 7.85M +16.0%
CNC Centene Corp 1.79M 1.51M -15.6%
TW Tradeweb Markets Inc 1.59M 1.34M -15.6%
ADP Automatic Data… 2.36M 2.73M +15.5%
AGI Alamos Gold Inc 2.24M 1.90M -15.3%
GOOG Alphabet Inc 95.01K 81.63K -14.1%
SPG Simon Property Group Inc 4.15K 3.57K -14.1%
DELL Dell Technologies Inc 414.11K 357.66K -13.6%
BABA Alibaba Group Holding… 110.10K 95.10K -13.6%
PEP PepsiCo Inc 65.74K 74.58K +13.4%
TTEK Tetra Tech Inc 2.73M 2.37M -13.4%
TKO TKO Group Holdings Inc 3.62M 3.14M -13.2%
J Jacobs Solutions Inc 3.26M 2.84M -12.9%
BAP Credicorp Ltd 398.46K 348.75K -12.5%
TT Trane Technologies PLC 821.04K 923.04K +12.4%
VEEV Veeva Systems Inc 74.44K 65.61K -11.9%
CTVA Corteva Inc 1.27M 1.13M -11.5%
RIO Rio Tinto PLC 114 101 -11.4%
ASML ASML Holding NV 32.96K 29.31K -11.1%
SYK Stryker Corp 52.69K 46.87K -11.0%
Z Zillow Group Inc 3.90M 3.47M -11.0%
IDXX IDEXX Laboratories Inc 20.90K 18.60K -11.0%
AHR American Healthcare… 7.02K 7.77K +10.7%
ALC Alcon AG 226.19K 202.50K -10.5%
JPM JPMorgan Chase & Co 2.31M 2.09M -9.5%
DLB Dolby Laboratories Inc 365.12K 330.60K -9.5%
XONA.DE Exxon Mobil Corp 4.12M 3.74M -9.0%
LLY Eli Lilly & Co 524.22K 570.40K +8.8%
GLPI Gaming and Leisure… 2.14M 1.96M -8.5%
YUMC Yum China Holdings Inc 346.56K 375.19K +8.3%
CF CF Industries Holdings… 530.34K 573.28K +8.1%

Raw share-count comparison between the two selected quarters (as reported; splits between distant quarters are not adjusted here — the quarterly change tabs on the manager page are split-adjusted). Common-stock positions with mapped tickers only.

Provenance: Both snapshots come from the manager's parsed 13F information tables (latest accepted versions). ← Back to the manager record