CCLA Investment Management - Stock Holdings in 13F Filings (SEC)

Updated on March 15, 2026.

Based on 13F Filings filed with the SEC on January 22, 2026, for the 2025 Q4 period, CCLA Investment Management held in its portfolio 55 assets valued at $6,234,557,647 (i.e. $6.24B).

The most valuable assets in the portfolio included: Alphabet Inc. ($431.93K), Microsoft Corp ($340.95K), and Amazon Com Inc. ($284.98K).

The chart below shows the top 10 valuable assets, and the table below shows the top 55 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in CCLA Investment Management Portfolio
Alphabet Inc.
Microsoft Corp
Amazon Com Inc.
Broadcom Inc
Visa Inc.
S&P Global Inc
Brookfield Infrastructure NPV
Coca Cola Co
HDFC Bank Ltd
Thermo Fisher Scientific Inc.
CCLA Investment Management - Stock Holdings in 13F Filings (SEC)
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Name of Issuer No. of Shares Value ($) Class
Alphabet Inc. 1376508 431934 Cap STK CL C
Microsoft Corp 705021 340948 COM
Amazon Com Inc. 1234639 284979 COM
Broadcom Inc 635312 219817 COM
Visa Inc. 522261 182345 COM CL A
S&P Global Inc 334290 174699 COM
Brookfield Infrastructure NPV 4710064 163627 COM
Coca Cola Co 2275618 159133 COM
HDFC Bank Ltd 4286185 156574 Sponsored ADS
Thermo Fisher Scientific Inc. 267601 155064 COM
Intuit 222696 147511 COM
CME Group Inc 526168 143685 COM
Danaher Corporation 622571 142550 COM
Agilent Technologies Inc. 1047488 142542 COM
Stryker Corporation 401936 141248 COM
Mastercard Incorporated 246042 140462 CL A
Intercontinental Exchange IN 834672 135208 COM
TransUnion 1548239 132746 COM
Synopsys Inc 278486 130799 COM
NXP Semiconductors N V 600380 130210 COM
Tradeweb Markets Inc Com 1182118 127124 CL A
Roper Technologies Inc 281360 125241 COM
Bank of America Corp 2254107 123953 COM
Gallagher (Arthur J) Com USD1 470291 121720 COM
Marsh & McLennan COS Inc. 647823 120184 COM
Booking Holdings Inc 22334 119570 COM
PTC Inc 674102 117442 COM
TJX Cos Inc 729957 112135 COM
Zoetis Inc. 885388 111390 CL A
Texas Instrs Inc. 636345 110374 COM
Abbott Labs 845716 105942 COM
O'Reilly Automative 1160562 105843 COM
Trane Technologies plc USD 1 256954 100037 COM
Fortinet Inc 1253998 99554 COM
Ingersoll Rand Inc 1246800 98759 COM
Deere & Company Com USD1 205327 95600 COM
McDonalds Corp 304737 93136 COM
Intercontinental Hotels Group 811662 84899 COM
ServiceNow Inc. 546685 83724 COM
MercadoLibre Inc 38496 77540 COM NPV
American Tower Corp New 414327 72739 COM
Brookfield Renewable Partners LP NPV 2199682 59259 PARTNERSHIP UNIT
Ametek Inc. 271560 55745 COM
Amphenol Corp 359535 48591 Corp A
TSMC 141341 42939 Sponsored ADR
Netflix Inc 402872 37769 COM
Ares Capital Corp 1703144 34454 COM
Blackstone Secured Lending Fund Com USD0.001 1287641 33903 COM
FS KKR Capital Corp 1720929 25469 COM
Medtronic Plc 135630 13029 SHS
Johnson & Johnson 28940 5988 COM
Cisco Sys Inc 64742 4987 COM
Automatic Data Processing In 13858 3564 COM
Procter and Gamble Co 20218 2897 COM
Home Depot Inc 5952 2048 COM