Fund Holdings — Troy Asset Management Ltd

Total Portfolio Value
$3.59B
Total Bought
$364.74M
Total Sold
$314.64M
Net Transaction
+$50.10M
Filing Period:
Securities
▲▼
SharesValue ($K)
Q1 2026
▲▼
Q2 2026
▲▼
Change
▲▼
Q1 2026
▲▼
Q2 2026
▲▼
Weight (%)
▲▼
Change
▲▼
MARKEL GROUP INC(MKL)061,509+61,5090120,1283.35%+120,128
AGILENT TECHNOLOGIES INC(A)2,413,2322,676,647+263,415275,060355,5399.92%+80,479
VISA INC-CLASS A SHARES(V)1,631,9111,632,408+497493,229560,06315.62%+66,834
CANADIAN NATL RAILWAY CO(CNI)2,628,9622,564,246-64,716284,579322,2558.99%+37,676
ALPHABET INC-CL A(GOOG)1,479,6611,282,411-197,250425,491458,29512.78%+32,804
ALCON INC(ALC)2,988,4353,801,548+813,113177,095207,5655.79%+30,470
CANADIAN PACIFIC KANSAS CITY(CP)0183,413+183,413015,8930.44%+15,893
TEXAS INSTRUMENTS INC(TXN)166,043153,815-12,22832,23645,8481.28%+13,612
CHUBB LTD
COM
874,776866,176-8,600285,116295,1418.23%+10,025
BOOKING HOLDINGS INC(BKNG)7,621231,246+223,62532,08741,2171.15%+9,130
ASTRAZENECA(AZN)052,367+52,36707,3840.21%+7,384
MASTERCARD INC - A(MA)128,447138,720+10,27364,18071,2471.99%+7,067
META PLATFORMS INC(META)71,84185,011+13,17041,10247,8861.34%+6,783
AMAZON.COM INC AMZN US(AMZN)122,258134,889+12,63125,46332,1490.90%+6,687
TAKE-TWO INTERACTIVE SOFTWRE(TTWO)65,06371,786+6,72312,85017,9450.50%+5,095
SYSCO CORP(SYY)406,138376,447-29,69128,97031,4630.88%+2,494
MOODY'S CORP(MCO)28,52231,468+2,94612,44314,2520.40%+1,810
S&P GLOBAL INC(SPGI)41,15645,404+4,24817,50518,4910.52%+986
PHILIP MORRIS INT(PM)130,488123,550-6,93821,57522,3510.62%+777
KENVUE INC(KVUE)809,454749,323-60,13113,95514,3200.40%+365
TAIWAN SEMICONDUCTOR-SP ADR(TSM)1680-168570—-57
PEPSICO INC(PEP)196,609182,153-14,45630,53124,6640.69%-5,868
CME GROUP INC(CME)228,657278,677+50,02067,53461,5401.72%-5,994
NIKE INC -CL B(NKE)498,464462,264-36,20026,32918,9760.53%-7,353
MICROSOFT CORP(MSFT)687,272659,861-27,411254,407246,1416.86%-8,266
PAYCHEX INC(PAYX)365,950250,985-114,96533,71124,6790.69%-9,032
INTUIT INC(INTU)71,62258,195-13,42730,96815,1890.42%-15,779
AUTOMATIC DATA PROCESSING107,6940-107,69421,8810—-21,881
MCDONALD'S CORP(MCD)71,8760-71,87622,3380—-22,338
VERISIGN INC783,354670,837-112,517194,554168,7564.71%-25,798
ACCENTURE PLC-CL A
SHS CLASS A
138,5850-138,58527,4800—-27,480
ADOBE INC(ADBE)524,867473,694-51,173127,58597,1172.71%-30,468
HUBBELL INC(HUBB)553,981438,244-115,737271,861229,2896.39%-42,571
Page 1 of 1