AEGON ASSET MANAGEMENT UK PLC - Q2 2017 holdings

$3.55 Trillion is the total value of AEGON ASSET MANAGEMENT UK PLC's 217 reported holdings in Q2 2017. The portfolio turnover from Q1 2017 to Q2 2017 was 26.1% .

 Value Shares↓ Weighting
FB SellFACEBOOK, INC.$144,323,195,000
+1.8%
956,036
-4.2%
4.06%
+6.7%
JPM SellJPMORGAN CHASE CO.$113,994,760,000
-15.2%
1,247,071
-18.5%
3.21%
-11.1%
GOOG SellALPHABET INC.$105,294,362,000
+5.8%
115,880
-3.4%
2.96%
+10.9%
ATVI SellACTIVISION BLIZZARD, INC.$104,911,964,000
+7.0%
1,822,654
-7.3%
2.95%
+12.3%
JNJ SellJOHNSON JOHNSON$93,141,477,000
+4.5%
703,964
-1.7%
2.62%
+9.6%
CSCO SellCISCO SYSTEMS, INC.$90,444,105,000
-7.9%
2,889,588
-0.6%
2.55%
-3.4%
AOS SellA. O. SMITH CORPORATION$88,921,805,000
+3.9%
1,578,587
-5.6%
2.50%
+9.0%
AMZN SellAMAZON.COM, INC.$86,482,005,000
+7.9%
89,376
-1.2%
2.44%
+13.1%
ANSS SellANSYS, INC.$79,661,447,000
+4.7%
654,949
-8.0%
2.24%
+9.8%
LMT SellLOCKHEED MARTIN CORPORATION$77,466,863,000
+2.5%
278,999
-1.2%
2.18%
+7.5%
PM SellPHILIP MORRIS INTERNATIONAL$68,400,247,000
-16.4%
582,328
-19.7%
1.93%
-12.3%
INGR SellINGREDION INCORPORATED$65,017,438,000
-16.8%
545,723
-15.9%
1.83%
-12.8%
AAPL SellAPPLE INC.$59,549,966,000
-42.4%
413,484
-42.6%
1.68%
-39.6%
MRK SellMERCK CO., INC.$57,270,568,000
-38.0%
893,596
-38.5%
1.61%
-34.9%
GOOGL SellALPHABET INC.$55,895,645,000
+0.8%
60,130
-8.1%
1.57%
+5.7%
RAI SellREYNOLDS AMERICAN INC.$48,241,010,000
-2.2%
741,827
-5.2%
1.36%
+2.5%
BAC SellBANK OF AMERICA CORPORATION$48,135,528,000
-12.5%
1,984,152
-14.9%
1.36%
-8.1%
CVX SellCHEVRON CORPORATION$46,688,602,000
-3.9%
447,466
-1.1%
1.32%
+0.8%
TSM SellTAIWAN SEMICONDUCTOR MANUFACadr usd$46,027,997,000
+4.9%
1,316,967
-1.5%
1.30%
+10.0%
CLX SellTHE CLOROX COMPANY$45,366,029,000
-6.8%
340,458
-5.7%
1.28%
-2.2%
ZION SellZIONS BANCORPORATION$44,902,501,000
+4.3%
1,022,836
-0.2%
1.26%
+9.4%
BRKB SellBERKSHIRE HATHAWAY INC.$43,927,201,000
-9.6%
259,234
-11.1%
1.24%
-5.2%
KAR SellKAR AUCTION SERVICES, INC.$38,285,017,000
-37.3%
912,417
-34.7%
1.08%
-34.2%
MSFT SellMICROSOFT CORPORATION$33,887,826,000
-34.6%
491,698
-37.5%
0.95%
-31.4%
CL SellCOLGATE-PALMOLIVE COMPANY$33,779,707,000
-1.2%
455,682
-2.4%
0.95%
+3.6%
AET SellAETNA INC.$32,893,154,000
-38.1%
216,716
-48.0%
0.93%
-35.1%
GILD SellGILEAD SCIENCES, INC.$31,829,020,000
+1.7%
449,753
-2.4%
0.90%
+6.7%
DPS SellDR PEPPER SNAPPLE GROUP, INC$29,854,466,000
-9.2%
327,639
-2.4%
0.84%
-4.8%
BABA SellALIBABA GROUP HOLDING LIMITEadr usd$27,704,872,000
+26.1%
196,600
-3.5%
0.78%
+32.2%
PFE SellPFIZER INC.$26,799,580,000
-19.6%
797,844
-18.2%
0.76%
-15.6%
HP SellHELMERICH PAYNE, INC.$25,316,748,000
-24.6%
465,981
-7.6%
0.71%
-20.9%
STLD SellSTEEL DYNAMICS, INC.$23,519,777,000
+0.5%
656,977
-2.4%
0.66%
+5.4%
NUE SellNUCOR CORPORATION$16,572,521,000
-3.4%
286,375
-0.3%
0.47%
+1.5%
NVDA SellNVIDIA CORPORATION$16,203,652,000
+13.1%
112,136
-14.7%
0.46%
+18.4%
GPC SellGENUINE PARTS COMPANY$14,998,591,000
-19.4%
161,675
-19.7%
0.42%
-15.4%
R SellRYDER SYSTEM, INC.$14,050,406,000
-6.9%
195,253
-2.4%
0.40%
-2.2%
ADBE SellADOBE SYSTEMS INCORPORATED$12,734,357,000
-7.2%
90,040
-14.6%
0.36%
-2.4%
VNTV SellVANTIV, INC.$9,357,365,000
-6.9%
147,709
-5.8%
0.26%
-2.2%
APH SellAMPHENOL CORPORATION$8,678,489,000
-3.8%
117,531
-7.3%
0.24%
+0.8%
TRMB SellTRIMBLE INC.$7,542,885,000
-4.8%
211,463
-14.6%
0.21%
-0.5%
SNPS SellSYNOPSYS, INC.$7,085,904,000
-13.1%
97,187
-14.0%
0.20%
-8.7%
CDW SellCDW CORPORATION$6,261,500,000
-6.9%
100,184
-14.0%
0.18%
-2.8%
FTNT SellFORTINET, INC.$5,147,972,000
-16.1%
137,536
-14.0%
0.14%
-12.1%
VIPS SellVIPSHOP (CHINA) CO., LTD.adr usd$4,080,793,000
-23.8%
387,172
-3.6%
0.12%
-20.1%
WELL SellWELLTOWER INC.reit usd$3,610,181,000
-58.6%
48,258
-60.8%
0.10%
-56.4%
UNH SellUNITEDHEALTH GROUP INCORPORA$3,117,958,000
+9.6%
16,822
-3.0%
0.09%
+15.8%
HD SellTHE HOME DEPOT, INC.$2,992,220,000
+1.4%
19,506
-3.0%
0.08%
+6.3%
XOM SellEXXON MOBIL CORPORATION$2,601,929,000
-4.5%
32,238
-3.0%
0.07%0.0%
AMGN SellAMGEN INC.$2,510,451,000
+1.9%
14,577
-3.0%
0.07%
+7.6%
FDX SellFEDEX CORPORATION$1,804,139,000
+8.1%
8,301
-3.0%
0.05%
+13.3%
RTN SellRAYTHEON COMPANY$1,692,956,000
+2.7%
10,484
-3.0%
0.05%
+9.1%
MMC SellMARSH MCLENNAN COMPANIES,$1,695,646,000
+2.4%
21,753
-3.0%
0.05%
+9.1%
GD SellGENERAL DYNAMICS CORPORATION$1,697,605,000
+2.7%
8,569
-3.0%
0.05%
+9.1%
GE SellGENERAL ELECTRIC COMPANY$1,677,051,000
-12.0%
62,090
-3.0%
0.05%
-7.8%
WFC SellWELLS FARGO COMPANY$1,674,682,000
-3.4%
30,218
-3.0%
0.05%0.0%
BCR SellC.R. BARD, INC.$1,649,557,000
+23.5%
5,215
-3.0%
0.05%
+27.8%
MTD SellMETTLER-TOLEDO INTERNATIONAL$1,519,682,000
+19.2%
2,583
-3.0%
0.04%
+26.5%
T SellATT INC.$1,539,724,000
-11.9%
40,809
-3.0%
0.04%
-8.5%
MC SellMOELIS COMPANY$1,458,647,000
-2.0%
37,594
-3.0%
0.04%
+2.5%
WM SellWASTE MANAGEMENT, INC.$1,452,645,000
-2.4%
19,807
-3.0%
0.04%
+2.5%
PRU SellPRUDENTIAL FINANCIAL, INC.$1,417,909,000
-40.8%
13,113
-41.6%
0.04%
-37.5%
TRU SellTRANSUNION$1,419,355,000
+9.6%
32,772
-3.0%
0.04%
+14.3%
ULTA SellULTA BEAUTY, INC.$1,413,713,000
-2.3%
4,920
-3.0%
0.04%
+2.6%
ORA SellORMAT TECHNOLOGIES, INC.$1,404,677,000
-0.2%
23,942
-3.0%
0.04%
+5.3%
QLYS SellQUALYS, INC.$1,332,973,000
+4.3%
32,711
-3.0%
0.04%
+11.8%
EW SellEDWARDS LIFESCIENCES CORPORA$1,341,783,000
+22.0%
11,347
-3.0%
0.04%
+26.7%
AMAT SellAPPLIED MATERIALS, INC.$1,331,884,000
+3.0%
32,249
-3.0%
0.04%
+8.6%
PG SellTHE PROCTER GAMBLE COMPANY$1,340,890,000
-20.4%
15,386
-17.9%
0.04%
-15.6%
IDXX SellIDEXX LABORATORIES, INC.$1,316,857,000
+1.3%
8,162
-3.0%
0.04%
+5.7%
RP SellREALPAGE, INC.$1,281,881,000
-0.0%
35,707
-3.0%
0.04%
+5.9%
CTAS SellCINTAS CORPORATION$1,276,859,000
-3.4%
10,133
-3.0%
0.04%
+2.9%
COO SellTHE COOPER COMPANIES, INC.$1,249,263,000
+16.2%
5,217
-3.0%
0.04%
+20.7%
ELS SellEQUITY LIFESTYLE PROPERTIES,reit usd$1,259,920,000
+8.7%
14,601
-3.0%
0.04%
+12.9%
TMK SellTORCHMARK CORPORATION$1,193,094,000
-3.6%
15,596
-3.0%
0.03%
+3.0%
TTC SellTHE TORO COMPANY$1,221,060,000
-18.7%
17,625
-26.7%
0.03%
-15.0%
URI SellUNITED RENTALS, INC.$1,212,196,000
-12.5%
10,755
-3.0%
0.03%
-8.1%
TER SellTERADYNE, INC.$1,214,984,000
-6.3%
40,459
-3.0%
0.03%
-2.9%
ROST SellROSS STORES, INC.$1,190,186,000
-15.0%
20,620
-3.0%
0.03%
-10.5%
CHD SellCHURCH DWIGHT CO., INC.$1,174,506,000
+0.9%
22,652
-3.0%
0.03%
+6.5%
CBOE SellCBOE HOLDINGS, INC.$1,186,334,000
+9.4%
12,981
-3.0%
0.03%
+13.8%
CPS SellCOOPER-STANDARD HOLDINGS INC$1,181,392,000
-11.8%
11,719
-3.0%
0.03%
-8.3%
WCG SellWELLCARE HEALTH PLANS, INC.$1,157,416,000
-6.5%
6,448
-26.9%
0.03%0.0%
PRAH SellPRA HEALTH SCIENCES, INC.$1,181,625,000
-17.3%
15,755
-28.0%
0.03%
-13.2%
OLLI SellOLLIE'S BARGAIN OUTLET HOLDI$1,148,127,000
-5.2%
26,983
-25.4%
0.03%
-3.0%
MDR SellMCDERMOTT INTERNATIONAL, INC$1,142,163,000
+3.1%
159,520
-3.0%
0.03%
+6.7%
RMD SellRESMED INC.$1,122,441,000
+5.0%
14,418
-3.0%
0.03%
+10.3%
OGE SellOGE ENERGY CORP.$1,102,913,000
-3.5%
31,702
-3.0%
0.03%0.0%
WOOF SellVCA INC.$1,093,504,000
-2.1%
11,846
-3.0%
0.03%
+3.3%
CPT SellCAMDEN PROPERTY TRUSTreit usd$1,088,797,000
+3.2%
12,730
-3.0%
0.03%
+10.7%
MKC SellMCCORMICK COMPANY, INCORPO$1,104,902,000
-3.0%
11,330
-3.0%
0.03%0.0%
HSY SellTHE HERSHEY COMPANY$1,081,967,000
-4.6%
10,077
-3.0%
0.03%0.0%
TMUS SellT-MOBILE USA, INC.$1,063,712,000
-9.0%
17,553
-3.0%
0.03%
-3.2%
RGA SellREINSURANCE GROUP OF AMERICA$1,082,386,000
-1.9%
8,439
-3.0%
0.03%0.0%
MGEE SellMGE ENERGY, INC.$1,055,435,000
-4.1%
16,427
-3.0%
0.03%0.0%
DD SellE. I. DU PONT DE NEMOURS AND$1,045,938,000
-2.5%
12,956
-3.0%
0.03%0.0%
CME SellCME GROUP INC.$1,030,310,000
+2.3%
8,228
-3.0%
0.03%
+7.4%
DFT SellDUPONT FABROS TECHNOLOGY, INreit usd$1,022,832,000
+19.5%
16,754
-3.0%
0.03%
+26.1%
FNF SellFIDELITY NATIONAL FINANCIAL,tracking stk usd$1,021,134,000
+11.7%
22,783
-3.0%
0.03%
+16.0%
VZ SellVERIZON COMMUNICATIONS INC.$999,179,000
-11.1%
22,368
-3.0%
0.03%
-6.7%
VVV SellVALVOLINE, INC.$958,666,000
-6.3%
40,433
-3.0%
0.03%0.0%
C SellCITIGROUP INC.$973,973,000
+8.5%
14,563
-3.0%
0.03%
+12.5%
ADSW SellADVANCED DISPOSAL SERVICES,$937,052,000
-2.3%
41,298
-3.0%
0.03%0.0%
JJSF SellJ J SNACK FOODS CORP.$871,464,000
-5.5%
6,604
-3.0%
0.02%0.0%
WRB SellW. R. BERKLEY CORPORATION$852,728,000
-5.0%
12,328
-3.0%
0.02%0.0%
LEA SellLEAR CORPORATION$848,240,000
-2.6%
5,971
-3.0%
0.02%
+4.3%
GNTX SellGENTEX CORPORATION$815,545,000
-13.7%
43,014
-3.0%
0.02%
-8.0%
DGX SellQUEST DIAGNOSTICS INCORPORAT$772,229,000
+9.9%
6,947
-3.0%
0.02%
+15.8%
KO SellTHE COCA-COLA COMPANY$741,774,000
+2.6%
16,539
-3.0%
0.02%
+10.5%
PCLN SellTHE PRICELINE GROUP INC.$750,066,000
+2.0%
401
-2.9%
0.02%
+5.0%
INTC SellINTEL CORPORATION$759,690,000
-9.2%
22,516
-3.0%
0.02%
-4.5%
HOLX SellHOLOGIC, INC.$743,342,000
+3.5%
16,384
-3.0%
0.02%
+10.5%
GBX SellTHE GREENBRIER COMPANIES, IN$752,090,000
-16.5%
16,279
-22.2%
0.02%
-12.5%
DCI SellDONALDSON COMPANY, INC.$728,207,000
-2.9%
15,994
-3.0%
0.02%
+5.0%
CBT SellCABOT CORPORATION$758,636,000
-13.5%
14,204
-3.0%
0.02%
-12.5%
DIS SellTHE WALT DISNEY COMPANY$719,283,000
-9.1%
6,771
-3.0%
0.02%
-4.8%
MO SellALTRIA GROUP, INC.$681,698,000
-75.1%
9,154
-76.1%
0.02%
-74.0%
FANG SellDIAMONDBACK ENERGY, INC.$565,085,000
-16.9%
6,365
-3.0%
0.02%
-11.1%
KLDX SellKLONDEX MINES LTD.$528,471,000
-16.1%
157,414
-3.0%
0.02%
-11.8%
DVN SellDEVON ENERGY CORPORATION$481,468,000
-25.7%
15,060
-3.0%
0.01%
-17.6%
PNNT ExitPENNANTPARK INVESTMENT CORPO$0-58,519
-100.0%
-0.01%
APC ExitANADARKO PETROLEUM CORPORATI$0-9,436
-100.0%
-0.02%
PBF ExitPBF ENERGY INC.$0-30,556
-100.0%
-0.02%
MLHR ExitHERMAN MILLER, INC.$0-21,017
-100.0%
-0.02%
IBM ExitINTERNATIONAL BUSINESS MACHI$0-3,939
-100.0%
-0.02%
OKE ExitONEOK, INC.$0-12,047
-100.0%
-0.02%
USB ExitU.S. BANCORP$0-15,505
-100.0%
-0.02%
BKH ExitBLACK HILLS CORPORATION$0-11,978
-100.0%
-0.02%
HOG ExitHARLEY-DAVIDSON, INC.$0-13,678
-100.0%
-0.02%
MTRX ExitMATRIX SERVICE COMPANY$0-49,964
-100.0%
-0.02%
BUFF ExitBLUE BUFFALO PET PRODUCTS, I$0-39,230
-100.0%
-0.02%
TRP ExitTRANSCANADA CORPORATION$0-20,592
-100.0%
-0.02%
FIS ExitFIDELITY NATIONAL INFORMATIO$0-12,371
-100.0%
-0.03%
VRSK ExitVERISK ANALYTICS, INC.$0-11,834
-100.0%
-0.03%
PSA ExitPUBLIC STORAGEreit usd$0-4,609
-100.0%
-0.03%
TEN ExitTENNECO INC.$0-16,979
-100.0%
-0.03%
EMN ExitEASTMAN CHEMICAL COMPANY$0-13,337
-100.0%
-0.03%
WNC ExitWABASH NATIONAL CORPORATION$0-52,145
-100.0%
-0.03%
IPHI ExitINPHI CORPORATION$0-22,732
-100.0%
-0.03%
DV ExitDEVRY EDUCATION GROUP INC.$0-32,559
-100.0%
-0.03%
CMI ExitCUMMINS INC.$0-7,882
-100.0%
-0.03%
SJM ExitTHE J. M. SMUCKER COMPANY$0-9,306
-100.0%
-0.03%
LNC ExitLINCOLN NATIONAL CORPORATION$0-18,963
-100.0%
-0.03%
TFX ExitTELEFLEX INCORPORATED$0-6,440
-100.0%
-0.03%
APFH ExitADVANCEPIERRE FOODS HOLDINGS$0-39,852
-100.0%
-0.03%
EXPD ExitEXPEDITORS INTERNATIONAL OF$0-23,012
-100.0%
-0.04%
ORLY ExitO'REILLY AUTOMOTIVE, INC.$0-4,775
-100.0%
-0.04%
DFS ExitDISCOVER FINANCIAL SERVICES$0-22,920
-100.0%
-0.04%
CRM ExitSALESFORCE.COM, INC.$0-19,749
-100.0%
-0.04%
AHH ExitARMADA HOFFLER PROPERTIES, Ireit usd$0-247,440
-100.0%
-0.09%
HPE ExitHEWLETT PACKARD ENTERPRISE C$0-209,262
-100.0%
-0.13%
CYS ExitCYS INVESTMENTS, INC.reit usd$0-661,362
-100.0%
-0.14%
AGNC ExitAGNC INVESTMENT CORP.reit usd$0-286,034
-100.0%
-0.15%
EMR ExitEMERSON ELECTRIC CO.$0-252,464
-100.0%
-0.41%
GM ExitGENERAL MOTORS COMPANY$0-616,221
-100.0%
-0.58%
SLB ExitSCHLUMBERGER OMNES, INC.$0-292,146
-100.0%
-0.61%
AZO ExitAUTOZONE, INC.$0-39,535
-100.0%
-0.77%
MD ExitMEDNAX, INC.$0-499,926
-100.0%
-0.93%
ACIA ExitACACIA COMMUNICATIONS, INC.$0-669,565
-100.0%
-1.06%
WDC ExitWESTERN DIGITAL CORPORATION$0-492,937
-100.0%
-1.09%
AYI ExitACUITY BRANDS, INC.$0-258,560
-100.0%
-1.42%
TJX ExitTHE TJX COMPANIES, INC.$0-821,013
-100.0%
-1.74%
Original filings

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

  • View 13F-HR filed 2017-07-07
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
APPLE INC.41Q2 20239.2%
PFIZER INC.41Q2 202311.0%
JOHNSON JOHNSON41Q2 20237.5%
VISA INC.41Q2 20234.4%
LOCKHEED MARTIN CORPORATION41Q2 20234.9%
CHEVRON CORPORATION41Q2 202310.7%
TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD41Q2 20235.4%
JPMORGAN CHASE CO.38Q2 20234.4%
CISCO SYSTEMS INC/DELAWARE38Q2 20234.2%
ABBVIE INC.37Q2 20236.6%

View AEGON ASSET MANAGEMENT UK PLC's complete holdings history.

Latest filings
TypeFiled
13F-HR2024-04-18
13F-HR2024-01-11
13F-HR/A2023-10-19
13F-HR2023-07-28
13F-HR2023-04-14
13F-HR2023-01-17
13F-HR2022-10-18
13F-HR2022-07-12
13F-HR2022-04-28
13F-HR2022-01-24

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