MILFORD FUNDS LTD - Stock Holdings in 13F Filings (SEC)

Updated on March 15, 2026.

Based on 13F Filings filed with the SEC on February 13, 2026, for the 2025 Q4 period, MILFORD FUNDS LTD held in its portfolio 76 assets valued at $5,092,352,901 (i.e. $5.09B).

The most valuable assets in the portfolio included: Microsoft Corporation ($327.37M), Alphabet Inc Class C ($303.58M), and Amazon.Com Inc ($273.43M).

The chart below shows the top 10 valuable assets, and the table below shows the top 76 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in MILFORD FUNDS LTD Portfolio
Microsoft Corporation
Alphabet Inc Class C
Amazon.Com Inc
Bank of America Corp
National Grid PLC
ARAMARK
Crown Castle Inc
Apple Inc
Taiwan Semiconductor-SP ADR
NVIDIA Corp
MILFORD FUNDS LTD - Stock Holdings in 13F Filings (SEC)
Items per page:
0 of 0
Name of Issuer No. of Shares Value ($) Class
Microsoft Corporation 676907 327365763 COM
Alphabet Inc Class C 967441 303582986 CL C
Amazon.Com Inc 1184621 273434219 COM
Bank of America Corp 4158897 228739335 COM
National Grid PLC 2368561 183208193 COM
ARAMARK 4916002 181203834 COM
Crown Castle Inc 1898900 168755243 COM
Apple Inc 617499 167873278 COM
Taiwan Semiconductor-SP ADR 492795 149755473 COM
NVIDIA Corp 762396 142186854 COM
Salesforce.com Inc 533015 141201004 COM
APi Group Corp 3253697 124486447 COM
American Tower Corp 658277 115573693 COM
Intuit Inc 169427 112231833 COM
Arthur J Gallagagh & Co 432088 111820054 COM
Newmont Mining Corp 1019021 101749247 COM
Carnival Corporation 3298670 100741382 COM
Duke Energy Corp 835293 97904693 COM
Meta Platforms Inc 143270 94571094 COM
JPMorgan Chase & Co 290975 93757964 COM
Rio Tinto Plc-Spon ADR 1163854 93143236 COM
Micron Technology Inc 307426 87742455 COM
Jones Lang LaSalle Inc 255944 86117478 COM
S&P Global Inc 160134 83684427 COM
Boston Scientific Corp 815279 77736853 COM
Shell PLC 970303 71297864 COM
Pultegroup Inc 583141 68379114 COM
Mastercard Inc-Class A 109848 62710026 CL A
Danaher Corp 269420 61675626 COM
Union Pacific Corp 262220 60656730 COM
Netflix Inc 636427 59671396 COM
Broadcom Inc 164969 57095771 COM
HCA Holdings Inc 112646 52589912 COM
Becton Dickinson and Co 269491 52300118 COM
Thermo Fisher Scientific Inc 83717 48509816 COM
Elevance Health Inc 132628 46492745 COM
Graphic Packaging Holding Co 2880110 43374457 COM
GXO Logistics Inc 821627 43250445 COM
Transdigm Group Inc 31514 41908893 COM
Fiserv Inc 608215 40853802 COM
Transunion 469107 40225925 COM
Ryanair Holdings PLC 545491 39378995 COM
Servicenow Inc 235635 36096926 COM
Eli Lilly and Company 32746 35191471 COM
IQVIA Holdings Inc 142348 32086663 COM
Resmed Inc 118000 28422660 COM
Vulcan Materials Co 99520 28385094 COM
Interactive Brokers Group Inc-CL A 416730 26799906 CL A
Equifax Inc 116771 25336972 COM
Intercontinental Exchange Inc 155075 25115947 COM
Ameren Corp 245838 24549383 COM
XPO Logistics Inc 180029 24467741 COM
CBRE Group Inc 145738 23433213 COM
Wal-Mart Stores Inc 199263 22199891 COM
Roper Industries Inc 47596 21186407 COM
Lowe's Companies Inc 78253 18871493 COM
Advanced Drainage Systems 108000 15641640 COM
McDonald's Corp 49252 15052889 COM
Toll Brothers Inc 109663 14828631 COM
SBA Communications Corp 71110 13754807 COM
Citizens Financial Group 235000 13726350 COM
Uber Technologies Ord Shs 152330 12446884 COM
Prologis Inc 93046 11878252 COM
Cheniere Energy Inc 58680 11406805 COM
Visa Inc-Class A Shares 28000 9819880 CL A
LIFE360 INC 149737 9604131 COM
BP Plc-Spons ADR 240000 8335200 COM
Baldwin Insurance Group Inc 346319 8322046 COM
Novo Nordisk A/S 156298 7952442 COM
CenterPoint Energy Inc 204816 7852645 COM
Nice Ltd 66797 7550733 COM
AT&T Inc 280000 6955200 COM
Haleon PLC 180000 1819800 COM
KLA-Tencor Corp 1424 1730274 COM
Kinder Morgan Inc/DE 52327 1438469 COM
NextEra Energy Inc 14367 1153383 COM