B.S. Pension Fund Trustee Ltd acting for the British Steel Pension Fund - Q1 2018 holdings

$671 Million is the total value of B.S. Pension Fund Trustee Ltd acting for the British Steel Pension Fund's 184 reported holdings in Q1 2018. The portfolio turnover from Q4 2017 to Q1 2018 was 0.0% .

 Value Shares↓ Weighting
ENB  ENBRIDGE INC$41,487,0000.0%1,059,7920.0%4.85%0.0%
UNP  UNION PAC CORP$33,579,0000.0%250,3990.0%3.92%0.0%
NEE  NEXTERA ENERGY INC$33,483,0000.0%214,3720.0%3.91%0.0%
XEL  XCEL ENERGY INC$30,021,0000.0%624,0050.0%3.51%0.0%
LNT  ALLIANT ENERGY CORP$24,187,0000.0%567,6400.0%2.82%0.0%
DUK  DUKE ENERGY CORP NEW$21,707,0000.0%258,0810.0%2.54%0.0%
PPL  PPL CORP$21,394,0000.0%691,2550.0%2.50%0.0%
AMT  AMERICAN$21,097,0000.0%147,8750.0%2.46%0.0%
WEC  WEC ENERGY GROUP INC$20,936,0000.0%315,1540.0%2.45%0.0%
NI  NISOURCE INC$20,587,0000.0%801,9950.0%2.40%0.0%
TRP  TRANSCANADA CORP$20,118,0000.0%412,0000.0%2.35%0.0%
AAPL  APPLE INC$19,233,0000.0%113,6530.0%2.25%0.0%
CSX  CSX CORP$17,366,0000.0%315,6880.0%2.03%0.0%
CP  CANADIAN PAC RY LTD$15,580,0000.0%85,0000.0%1.82%0.0%
EIX  EDISON INTL$15,431,0000.0%244,0000.0%1.80%0.0%
KSU  KANSAS CITY SOUTHERN$14,731,0000.0%140,0000.0%1.72%0.0%
TLK  P T TELEKOMUNIKASI INDONESIAsponsored adr$14,124,0000.0%438,3540.0%1.65%0.0%
MIC  MACQUARIE INFRASTRUCTURE COR$12,583,0000.0%196,0000.0%1.47%0.0%
MSFT  MICROSOFT CORP$12,068,0000.0%141,0750.0%1.41%0.0%
AEP  AMERICAN$11,330,0000.0%154,0000.0%1.32%0.0%
ED  CONSOLIDATED EDISON INC$11,044,0000.0%130,0000.0%1.29%0.0%
WMB  WILLIAMS COS INC DEL$10,985,0000.0%360,2700.0%1.28%0.0%
PEGI  PATTERN ENERGY GROUP INCcl a$10,423,0000.0%485,0000.0%1.22%0.0%
AMZN  AMAZON COM INC$9,804,0000.0%8,3830.0%1.14%0.0%
JPM  JPMORGAN CHASE & CO$9,771,0000.0%91,3650.0%1.14%0.0%
FTS  FORTIS INC$9,200,0000.0%250,0000.0%1.08%0.0%
FB  FACEBOOK INCcl a$8,093,0000.0%45,8610.0%0.94%0.0%
CCI  CROWN CASTLE INTL CORP NEW$7,952,0000.0%71,6310.0%0.93%0.0%
EXC  EXELON CORP$7,882,0000.0%200,0000.0%0.92%0.0%
BAC  BANK AMER CORP$7,175,0000.0%243,0580.0%0.84%0.0%
DTE  DTE ENERGY CO$7,115,0000.0%65,0000.0%0.83%0.0%
WFC  WELLS FARGO CO NEW$6,593,0000.0%108,6660.0%0.77%0.0%
GOOGL  ALPHABET INCcap stk cl a$6,588,0000.0%6,2540.0%0.77%0.0%
BRKB  BERKSHIRE HATHAWAY INC DELcl b new$6,121,0000.0%30,8810.0%0.72%0.0%
C  CITIGROUP INC$6,036,0000.0%81,1130.0%0.70%0.0%
HYG  ISHARES TRiboxx hi yd etf$5,669,0000.0%65,0000.0%0.66%0.0%
XOM  EXXON MOBIL CORP$5,526,0000.0%66,0740.0%0.65%0.0%
GOOG  ALPHABET INCcap stk cl c$5,499,0000.0%5,2550.0%0.64%0.0%
HD  HOME DEPOT INC$5,333,0000.0%28,1370.0%0.62%0.0%
PG  PROCTER AND GAMBLE CO$5,276,0000.0%57,4210.0%0.62%0.0%
V  VISA INC$5,254,0000.0%46,0790.0%0.61%0.0%
DWDP  DOWDUPONT INC$4,876,0000.0%68,4690.0%0.57%0.0%
INTC  INTEL CORP$4,691,0000.0%101,6150.0%0.55%0.0%
PBA  PEMBINA PIPELINE CORP$4,540,0000.0%125,0000.0%0.53%0.0%
UNH  UNITEDHEALTH GROUP INC$4,528,0000.0%20,5380.0%0.53%0.0%
BA  BOEING CO$4,477,0000.0%15,1810.0%0.52%0.0%
CMCSA  COMCAST CORP NEWcl a$4,473,0000.0%111,6940.0%0.52%0.0%
CSCO  CISCO SYS INC$4,466,0000.0%116,5970.0%0.52%0.0%
T  AT&T INC$4,341,0000.0%111,6640.0%0.51%0.0%
PHI  PLDT INCsponsored adr$4,301,0000.0%142,9940.0%0.50%0.0%
SO  SOUTHERN CO$4,050,0000.0%84,2260.0%0.47%0.0%
PEP  PEPSICO INC$4,046,0000.0%33,7370.0%0.47%0.0%
WMT  WAL-MART STORES INC$3,955,0000.0%40,0550.0%0.46%0.0%
PFE  PFIZER INC$3,786,0000.0%104,5190.0%0.44%0.0%
MCD  MCDONALDS CORP$3,770,0000.0%21,9050.0%0.44%0.0%
ABBV  ABBVIE INC$3,653,0000.0%37,7730.0%0.43%0.0%
MA  MASTERCARD INCORPORATEDcl a$3,651,0000.0%24,1230.0%0.43%0.0%
MRK  MERCK & CO INC$3,613,0000.0%64,2060.0%0.42%0.0%
CVX  CHEVRON CORP NEW$3,495,0000.0%27,9210.0%0.41%0.0%
AMGN  AMGEN INC$3,377,0000.0%19,4190.0%0.39%0.0%
KO  COCA COLA CO$3,327,0000.0%72,5220.0%0.39%0.0%
HON  HONEYWELL INTL INC$3,235,0000.0%21,0960.0%0.38%0.0%
MO  ALTRIA GROUP INC$3,209,0000.0%44,9430.0%0.38%0.0%
TXN  TEXAS INSTRS INC$3,077,0000.0%29,4630.0%0.36%0.0%
PM  PHILIP MORRIS INTL INC$3,062,0000.0%28,9820.0%0.36%0.0%
CAT  CATERPILLAR INC DEL$3,036,0000.0%19,2640.0%0.36%0.0%
UTX  UNITED TECHNOLOGIES CORP$2,812,0000.0%22,0390.0%0.33%0.0%
ADBE  ADOBE SYS INC$2,689,0000.0%15,3450.0%0.31%0.0%
NFLX  NETFLIX INC$2,682,0000.0%13,9710.0%0.31%0.0%
LMT  LOCKHEED MARTIN CORP$2,612,0000.0%8,1370.0%0.30%0.0%
GS  GOLDMAN SACHS GROUP INC$2,589,0000.0%10,1610.0%0.30%0.0%
TMO  THERMO FISHER SCIENTIFIC INC$2,514,0000.0%13,2400.0%0.29%0.0%
ORCL  ORACLE CORP$2,445,0000.0%51,7060.0%0.29%0.0%
LLY  LILLY ELI & CO$2,403,0000.0%28,4480.0%0.28%0.0%
BIIB  BIOGEN INC$2,360,0000.0%7,4090.0%0.28%0.0%
BLK  BLACKROCK INC$2,354,0000.0%4,5820.0%0.28%0.0%
GILD  GILEAD SCIENCES INC$2,342,0000.0%32,6890.0%0.27%0.0%
CHTR  CHARTER COMMUNICATIONS INC Ncl a$2,335,0000.0%6,9500.0%0.27%0.0%
MDLZ  MONDELEZ INTL INCcl a$2,328,0000.0%54,3820.0%0.27%0.0%
FDX  FEDEX CORP$2,320,0000.0%9,2980.0%0.27%0.0%
SBUX  STARBUCKS CORP$2,288,0000.0%39,8390.0%0.27%0.0%
VZ  VERIZON COMMUNICATIONS INC$2,274,0000.0%42,9560.0%0.27%0.0%
GE  GENERAL ELECTRIC CO$2,173,0000.0%124,5390.0%0.25%0.0%
IBM  INTERNATIONAL BUSINESS MACHS$2,142,0000.0%13,9630.0%0.25%0.0%
COF  CAPITAL ONE FINL CORP$2,121,0000.0%21,2980.0%0.25%0.0%
JNJ  JOHNSON & JOHNSON$2,115,0000.0%15,1400.0%0.25%0.0%
SYF  SYNCHRONY FINL$2,116,0000.0%54,8090.0%0.25%0.0%
PNC  PNC FINL SVCS GROUP INC$2,095,0000.0%14,5160.0%0.24%0.0%
DHR  DANAHER CORP DEL$2,063,0000.0%22,2280.0%0.24%0.0%
NOC  NORTHROP GRUMMAN CORP$2,064,0000.0%6,7260.0%0.24%0.0%
SLB  SCHLUMBERGER LTD$2,065,0000.0%30,6490.0%0.24%0.0%
MAR  MARRIOTT INTL INC NEWcl a$2,025,0000.0%14,9210.0%0.24%0.0%
SYK  STRYKER CORP$2,008,0000.0%12,9670.0%0.24%0.0%
GM  GENERAL MTRS CO$1,974,0000.0%48,1610.0%0.23%0.0%
TMUS  T MOBILE US INC$1,961,0000.0%30,8790.0%0.23%0.0%
EOG  EOG RES INC$1,954,0000.0%18,1060.0%0.23%0.0%
SPGI  S&P GLOBAL INC$1,941,0000.0%11,4610.0%0.23%0.0%
ESRX  EXPRESS SCRIPTS HLDG CO$1,866,0000.0%25,0000.0%0.22%0.0%
STZ  CONSTELLATION BRANDS INCcl a$1,865,0000.0%8,1610.0%0.22%0.0%
COL  ROCKWELL COLLINS INC$1,847,0000.0%13,6190.0%0.22%0.0%
AMAT  APPLIED MATLS INC$1,840,0000.0%36,0000.0%0.22%0.0%
HAL  HALLIBURTON CO$1,832,0000.0%37,4950.0%0.21%0.0%
CELG  CELGENE CORP$1,808,0000.0%17,3240.0%0.21%0.0%
TGT  TARGET CORP$1,794,0000.0%27,5000.0%0.21%0.0%
URI  UNITED RENTALS INC$1,782,0000.0%10,3640.0%0.21%0.0%
CVS  CVS HEALTH CORP$1,779,0000.0%24,5440.0%0.21%0.0%
MU  MICRON TECHNOLOGY INC$1,768,0000.0%43,0000.0%0.21%0.0%
ROST  ROSS STORES INC$1,766,0000.0%22,0000.0%0.21%0.0%
CL  COLGATE PALMOLIVE CO$1,735,0000.0%23,0000.0%0.20%0.0%
PRU  PRUDENTIAL FINL INC$1,740,0000.0%15,1330.0%0.20%0.0%
EL  LAUDER ESTEE COS INCcl a$1,733,0000.0%13,6190.0%0.20%0.0%
MPC  MARATHON PETE CORP$1,711,0000.0%25,9330.0%0.20%0.0%
PGR  PROGRESSIVE CORP OHIO$1,709,0000.0%30,3520.0%0.20%0.0%
WM  WASTE MGMT INC DEL$1,705,0000.0%19,7530.0%0.20%0.0%
ICE  INTERCONTINENTAL EXCHANGE IN$1,693,0000.0%24,0000.0%0.20%0.0%
HPQ  HP INC$1,681,0000.0%80,0000.0%0.20%0.0%
BMY  BRISTOL MYERS SQUIBB CO$1,681,0000.0%27,4240.0%0.20%0.0%
DFS  DISCOVER FINL SVCS$1,648,0000.0%21,4300.0%0.19%0.0%
TJX  TJX COS INC NEW$1,641,0000.0%21,4600.0%0.19%0.0%
USB  US BANCORP DEL$1,631,0000.0%30,4390.0%0.19%0.0%
TSN  TYSON FOODS INCcl a$1,621,0000.0%19,9920.0%0.19%0.0%
TWX  TIME WARNER INC$1,611,0000.0%17,6120.0%0.19%0.0%
DXC  DXC TECHNOLOGY CO$1,605,0000.0%16,9140.0%0.19%0.0%
MNST  MONSTER BEVERAGE CORP NEW$1,603,0000.0%25,3250.0%0.19%0.0%
DG  DOLLAR GEN CORP NEW$1,602,0000.0%17,2240.0%0.19%0.0%
KR  KROGER CO$1,593,0000.0%58,0170.0%0.19%0.0%
CMI  CUMMINS INC$1,571,0000.0%8,8920.0%0.18%0.0%
EA  ELECTRONIC ARTS INC$1,577,0000.0%15,0120.0%0.18%0.0%
M  MACYS INC$1,562,0000.0%62,0000.0%0.18%0.0%
BK  BANK$1,553,0000.0%28,8300.0%0.18%0.0%
DOV  DOVER CORP$1,497,0000.0%14,8190.0%0.18%0.0%
HCA  HCA HEALTHCARE INC$1,493,0000.0%17,0000.0%0.17%0.0%
CTSH  COGNIZANT TECHNOLOGY SOLUTIOcl a$1,480,0000.0%20,8340.0%0.17%0.0%
ITW  ILLINOIS TOOL WKS INC$1,452,0000.0%8,7000.0%0.17%0.0%
YUM  YUM BRANDS INC$1,457,0000.0%17,8570.0%0.17%0.0%
SWK  STANLEY BLACK & DECKER INC$1,428,0000.0%8,4160.0%0.17%0.0%
CF  CF INDS HLDGS INC$1,415,0000.0%33,2590.0%0.16%0.0%
DVN  DEVON ENERGY CORP NEW$1,390,0000.0%33,5680.0%0.16%0.0%
L100PS  ARCONIC INC$1,379,0000.0%50,5900.0%0.16%0.0%
AIG  AMERICAN$1,375,0000.0%23,0770.0%0.16%0.0%
MET  METLIFE INC$1,373,0000.0%27,1490.0%0.16%0.0%
LUV  SOUTHWEST AIRLS CO$1,363,0000.0%20,8290.0%0.16%0.0%
AA  ALCOA CORP$1,334,0000.0%24,7660.0%0.16%0.0%
MGM  MGM RESORTS INTERNATIONAL$1,336,0000.0%40,0000.0%0.16%0.0%
HBAN  HUNTINGTON BANCSHARES INC$1,336,0000.0%91,7580.0%0.16%0.0%
F  FORD MTR CO DEL$1,327,0000.0%106,2330.0%0.16%0.0%
WY  WEYERHAEUSER CO$1,306,0000.0%37,0470.0%0.15%0.0%
BSX  BOSTON SCIENTIFIC CORP$1,299,0000.0%52,3850.0%0.15%0.0%
FL  FOOT LOCKER INC$1,286,0000.0%27,4310.0%0.15%0.0%
ALLY  ALLY FINL INC$1,268,0000.0%43,4690.0%0.15%0.0%
CMA  COMERICA INC$1,242,0000.0%14,3120.0%0.14%0.0%
WHR  WHIRLPOOL CORP$1,218,0000.0%7,2220.0%0.14%0.0%
KEY  KEYCORP NEW$1,201,0000.0%59,5250.0%0.14%0.0%
LVS  LAS VEGAS SANDS CORP$1,194,0000.0%17,1820.0%0.14%0.0%
NSC  NORFOLK SOUTHERN CORP$1,181,0000.0%8,1510.0%0.14%0.0%
PPG  PPG INDS INC$1,173,0000.0%10,0450.0%0.14%0.0%
BAX  BAXTER INTL INC$1,160,0000.0%17,9420.0%0.14%0.0%
VMC  VULCAN MATLS CO$1,143,0000.0%8,9050.0%0.13%0.0%
MOS  MOSAIC CO NEW$1,141,0000.0%44,4790.0%0.13%0.0%
MS  MORGAN STANLEY$1,105,0000.0%21,0550.0%0.13%0.0%
CCL  CARNIVAL CORPunit 99/99/9999$1,078,0000.0%16,2390.0%0.13%0.0%
NOV  NATIONAL$1,068,0000.0%29,6380.0%0.12%0.0%
RSG  REPUBLIC SVCS INC$1,072,0000.0%15,8570.0%0.12%0.0%
COP  CONOCOPHILLIPS$1,053,0000.0%19,1800.0%0.12%0.0%
SFM  SPROUTS FMRS MKT INC$1,024,0000.0%42,0650.0%0.12%0.0%
HBI  HANESBRANDS INC$899,0000.0%42,9740.0%0.10%0.0%
CRM  SALESFORCE COM INC$881,0000.0%8,6210.0%0.10%0.0%
HPE  HEWLETT PACKARD ENTERPRISE C$886,0000.0%61,6850.0%0.10%0.0%
APA  APACHE CORP$831,0000.0%19,6840.0%0.10%0.0%
FCX  FREEPORT-MCMORAN INCcl b$699,0000.0%36,8480.0%0.08%0.0%
INTU  INTUIT$695,0000.0%4,4060.0%0.08%0.0%
BDX  BECTON DICKINSON & CO$650,0000.0%3,0350.0%0.08%0.0%
S  SPRINT CORP$627,0000.0%106,4290.0%0.07%0.0%
HES  HESS CORP$613,0000.0%12,9100.0%0.07%0.0%
FLR  FLUOR CORP NEW$530,0000.0%10,2710.0%0.06%0.0%
CME  CME GROUP INC$459,0000.0%3,1420.0%0.05%0.0%
ABT  ABBOTT LABS$439,0000.0%7,7000.0%0.05%0.0%
APC  ANADARKO PETE CORP$401,0000.0%7,4780.0%0.05%0.0%
PYPL  PAYPAL HLDGS INC$373,0000.0%5,0610.0%0.04%0.0%
DVMT  DELL TECHNOLOGIES INC$286,0000.0%3,5220.0%0.03%0.0%
OXY  OCCIDENTAL PETE CORP DEL$256,0000.0%3,4700.0%0.03%0.0%
BHF  BRIGHTHOUSE FINL INC$145,0000.0%2,4680.0%0.02%0.0%
Original filings

The following EDGAR filing(s) were analyzed to create this report:

  • View 13F-HR filed 2018-05-18
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
XCEL ENERGY INC38Q3 20217.0%
NEXTERA ENERGY INC38Q3 20216.5%
NISOURCE INC38Q3 20216.1%
ALLIANT ENERGY CORP38Q3 20215.2%
WILLIAMS COS INC DEL38Q3 20213.5%
AMERICAN ELEC PWR INC38Q3 20214.4%
P T TELEKOMUNIKASI INDONESIA38Q3 20212.6%
EXELON CORP38Q3 20211.5%
DUKE ENERGY CORP NEW36Q3 20215.4%
UNION PACIFIC CORP35Q3 202112.5%

View B.S. Pension Fund Trustee Ltd acting for the British Steel Pension Fund's complete holdings history.

Latest filings
TypeFiled
13F-HR2021-11-29
13F-HR2021-08-26
13F-HR2021-05-14
13F-HR2021-02-19
13F-HR2020-11-17
13F-HR2020-08-27
13F-HR2020-05-19
13F-HR2020-05-19
13F-HR2019-11-25
13F-HR2019-08-15

View B.S. Pension Fund Trustee Ltd acting for the British Steel Pension Fund's complete filings history.

Compare quarters

Issues

The following issues were detected while analyzing the report:

  • The reported total value is incorrect (670945000.0 != 856050000.0)
  • The reported number of holdings is incorrect (184 != 182)

Export B.S. Pension Fund Trustee Ltd acting for the British Steel Pension Fund's holdings