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Keyridge Asset Management Ltd Current Holdings: USA Other Stocks

Keyridge Asset Management Ltd current holdings: USA Other Stocks

Keyridge Asset Management Ltd reported $1738.61 billion in shares no fund filing gives a ticker for, so this site has no page for them (listed in the US), 934 positions, in its Form 13F for the quarter ended 2013-06-30; the largest are GEN ELEC CO COM USD0.06, GOOGLE INC COM USD0.001 CL'A', UTD TECHNOLOGIES COM USD1.

  • GEN ELEC CO COM USD0.06: Country of operation United States; Class COM; Shares 5,152,785; Value $119,493,084,000.
  • GOOGLE INC COM USD0.001 CL'A': Country of operation —; Class COM; Shares 134,953; Value $118,708,707,000.
  • UTD TECHNOLOGIES COM USD1: Country of operation United States; Class COM; Shares 616,808; Value $57,319,967,000.
  • HEWLETT PACKARD CO COM USD0.01: Country of operation —; Class COM; Shares 1,557,283; Value $38,589,473,000.

Form 13F-HR as filed (SEC CIK 1427274): quarter ended 2013-06-30, filed 2013-08-13. The manager files one row per sub-manager; rows for the same security, class and put/call are added together.

StockCountry of operationClassSharesValueQuarter endFiled
GEN ELEC CO COM USD0.06
CUSIP 369604103
United StatesCOM5,152,785$119,493,084,0002013-06-302013-08-13
GOOGLE INC COM USD0.001 CL'A'
CUSIP 38259P508
COM134,953$118,708,707,0002013-06-302013-08-13
UTD TECHNOLOGIES COM USD1
CUSIP 913017109
United StatesCOM616,808$57,319,967,0002013-06-302013-08-13
HEWLETT PACKARD CO COM USD0.01
CUSIP 428236103
COM1,557,283$38,589,473,0002013-06-302013-08-13
TIME WARNER INC COM USD0.01
CUSIP 887317303
COM621,056$35,915,668,0002013-06-302013-08-13
EMC CORP(MASS) COM USD0.01
CUSIP 268648102
COM1,420,524$33,552,777,0002013-06-302013-08-13
MONSANTO COM USD0.01
CUSIP 61166W101
COM330,513$32,624,938,0002013-06-302013-08-13
VIACOM INC NEW CL'B' NON-VTG USD0.001
CUSIP 92553P201
COM478,927$32,576,615,0002013-06-302013-08-13
BERKSHIRE HATHAWAY CNV CLASS'A'COM USD5
CUSIP 084670108
United StatesCOM171$28,728,000,0002013-06-302013-08-13
APACHE CORP COM USD1.25
CUSIP 037411105
COM341,114$28,585,353,0002013-06-302013-08-13
DU PONT DE NEMOURS COM USD0.30
CUSIP 263534109
COM509,623$26,750,111,0002013-06-302013-08-13
AETNA INC(NEW) COM USD0.01
CUSIP 00817Y108
COM374,352$23,782,583,0002013-06-302013-08-13
HEALTH CARE PROP INV
CUSIP 40414L109
COM521,027$23,680,677,0002013-06-302013-08-13
HESS CORPORATION COM USD1
CUSIP 42809H107
United StatesCOM344,578$22,907,545,0002013-06-302013-08-13
NEWS CORP COM USD0.01 CLASS'A'
CUSIP 65248E104
COM662,552$21,585,944,0002013-06-302013-08-13
EXPRESS SCRIPTS HL COM USD0.01
CUSIP 30219G108
COM344,836$21,276,381,0002013-06-302013-08-13
DELL INC COM USD0.01
CUSIP 24702R101
COM1,596,372$21,263,675,0002013-06-302013-08-13
CELGENE CORP COM USD0.01
CUSIP 151020104
COM179,614$20,998,673,0002013-06-302013-08-13
COACH INC
CUSIP 189754104
COM361,561$20,634,286,0002013-06-302013-08-13
BLACKROCK INC COM STK USD0.01
CUSIP 09247X101
United StatesCOM76,400$19,608,824,0002013-06-302013-08-13
ANADARKO PETROLEUM COM USD0.10
CUSIP 032511107
COM219,904$18,891,953,0002013-06-302013-08-13
PRICELINE.COM INC COM USD0.008
CUSIP 741503403
COM22,192$18,330,592,0002013-06-302013-08-13
WALGREEN CO COM USD0.078125
CUSIP 931422109
COM393,917$17,391,436,0002013-06-302013-08-13
DOW CHEMICAL CO COM USD2.50
CUSIP 260543103
United StatesCOM531,615$17,096,738,0002013-06-302013-08-13
DIRECTV COM USD0.01
CUSIP 25490A309
COM255,941$15,763,406,0002013-06-302013-08-13
ENERGIZER
CUSIP 29266R108
COM155,979$15,679,009,0002013-06-302013-08-13
TIME WARNER CABLE WHEN ISSUED
CUSIP 88732J207
COM130,153$14,638,308,0002013-06-302013-08-13
PRAXAIR INC COM USD0.01
CUSIP 74005P104
COM123,872$14,261,383,0002013-06-302013-08-13
KRAFT FOODS GROUP COM NPV
CUSIP 50076Q106
COM254,873$14,227,011,0002013-06-302013-08-13
PRECISN CASTPARTS COM NPV
CUSIP 740189105
COM61,134$13,771,656,0002013-06-302013-08-13
CBS CORPORATION CLASS'B' COM STK USD0.001
CUSIP 124857202
COM256,596$12,537,281,0002013-06-302013-08-13
NATIONAL OILWELL COM USD0.01
CUSIP 637071101
COM179,813$12,387,318,0002013-06-302013-08-13
WELLPOINT INC COM USD0.01
CUSIP 94973V107
COM143,987$11,781,016,0002013-06-302013-08-13
YAHOO INC COM USD0.001
CUSIP 984332106
COM458,385$11,505,464,0002013-06-302013-08-13
OWENS-ILLINOIS INC COM USD0.01
CUSIP 690768403
COM397,736$11,049,106,0002013-06-302013-08-13
ALLERGAN INC COM USD0.01
CUSIP 018490102
COM129,286$10,882,003,0002013-06-302013-08-13
MARATHON OIL CORP COM USD1
CUSIP 565849106
United StatesCOM312,181$10,788,975,0002013-06-302013-08-13
DISCOVER FINL SVCS COM STK USD0.01 'WI'
CUSIP 254709108
United StatesCOM225,944$10,761,713,0002013-06-302013-08-13
CENTURYLINK INC COM USD1
CUSIP 156700106
COM295,603$10,446,610,0002013-06-302013-08-13
SYMANTEC CORP
CUSIP 871503108
COM464,130$10,424,360,0002013-06-302013-08-13
SPECTRA ENERGY COR COM USD0.001 'WI'
CUSIP 847560109
COM299,890$10,334,209,0002013-06-302013-08-13
JOHNSON CONTROLS COM USD0.16 2/3
CUSIP 478366107
COM286,731$10,259,235,0002013-06-302013-08-13
BB&T CORP COM USD5
CUSIP 054937107
COM301,942$10,229,795,0002013-06-302013-08-13
RAYTHEON CO COM USD0.01
CUSIP 755111507
COM148,767$9,836,474,0002013-06-302013-08-13
SPRINT CORP FON GROUP COM USD2.00
CUSIP 852061100
COM1,370,965$9,637,884,0002013-06-302013-08-13
COMCAST CORPORATIO 'A'SPL COM USD1
CUSIP 20030N200
COM239,888$9,521,155,0002013-06-302013-08-13
RJ REYNOLDS TOBACCO HLDS
CUSIP 761713106
COM193,588$9,346,429,0002013-06-302013-08-13
CIGNA CORP COM USD0.25
CUSIP 125509109
COM126,787$9,189,522,0002013-06-302013-08-13
NOBLE ENERGY INC COM USD3.33 1/3
CUSIP 655044105
COM151,579$9,099,287,0002013-06-302013-08-13
HEALTH CARE REIT USD1
CUSIP 42217K106
COM134,403$9,010,377,0002013-06-302013-08-13
CROWN CASTLE INTL COM USD0.01
CUSIP 228227104
COM121,509$8,792,391,0002013-06-302013-08-13
ANNALY CAPITAL MAN COM USD0.01
CUSIP 035710409
United StatesCOM681,901$8,578,315,0002013-06-302013-08-13
BAKER HUGHES INC COM USD1
CUSIP 057224107
COM184,347$8,502,084,0002013-06-302013-08-13
LORILLARD INC COM USD0.01
CUSIP 544147101
COM189,157$8,249,137,0002013-06-302013-08-13
PIONEER NATURAL RESOURCE
CUSIP 723787107
United StatesCOM54,543$7,895,099,0002013-06-302013-08-13
WHOLE FOODS MARKET
CUSIP 966837106
COM149,338$7,687,920,0002013-06-302013-08-13
SUNTRUST BANKS COM USD1
CUSIP 867914103
COM242,866$7,664,851,0002013-06-302013-08-13
BROADCOM CORP CL A COM USD0.0001
CUSIP 111320107
COM218,687$7,382,873,0002013-06-302013-08-13
ALEXION PHARMACEUT COM USD0.0001
CUSIP 015351109
COM75,717$6,984,136,0002013-06-302013-08-13
BED BATH & BEYOND COM USD0.01
CUSIP 075896100
COM98,231$6,964,578,0002013-06-302013-08-13
MEAD JOHNSON NUTRI COM CL A USD0.01
CUSIP 582839106
COM87,082$6,897,765,0002013-06-302013-08-13
ACTAVIS INC COM USD0.0033
CUSIP 00507K103
COM53,123$6,711,029,0002013-06-302013-08-13
LINKEDIN CORP
CUSIP 53578A108
COM36,493$6,513,271,0002013-06-302013-08-13
CERNER CORP COM USD0.01
CUSIP 156782104
COM67,744$6,508,844,0002013-06-302013-08-13
COOPER CAMERON
CUSIP 13342B105
COM106,146$6,491,889,0002013-06-302013-08-13
CARNIVAL CORP COM USD0.01(PAIRED STOCK)
CUSIP 143658300
COM182,788$6,267,801,0002013-06-302013-08-13
SANDISK CORP COM USD0.001
CUSIP 80004C101
COM102,554$6,265,024,0002013-06-302013-08-13
MCGRAW HILL FINANC COM USD1
CUSIP 580645109
COM117,437$6,245,300,0002013-06-302013-08-13
ST JUDE MEDICAL COM USD0.10
CUSIP 790849103
COM135,386$6,179,017,0002013-06-302013-08-13
CHESAPEAKE ENERGY COM USD0.01
CUSIP 165167107
COM292,378$5,949,892,0002013-06-302013-08-13
LIBERTY MEDIA CORP COM USD0.01
CUSIP 531229102
COM46,834$5,931,994,0002013-06-302013-08-13
NEWS CORP COM USD0.01 CL'B'
CUSIP 65248E203
COM179,198$5,879,486,0002013-06-302013-08-13
MYLAN LABORATORIES COM USD0.50
CUSIP 628530107
COM180,498$5,602,658,0002013-06-302013-08-13
STHWESTN ENERGY CO COM USD0.10
CUSIP 845467109
United StatesCOM153,391$5,598,772,0002013-06-302013-08-13
Life Technologies Corp
CUSIP 53217V109
COM75,500$5,586,245,0002013-06-302013-08-13
NORTHEAST UTILS COM USD5
CUSIP 664397106
COM130,776$5,496,515,0002013-06-302013-08-13
INTERCONTINENTALEX COM STK USD0.01
CUSIP 45865V100
COM30,829$5,488,795,0002013-06-302013-08-13
XEROX CORP COM USD1
CUSIP 984121103
COM589,350$5,333,618,0002013-06-302013-08-13
AMERICAN CAPITAL A
CUSIP 02503X105
COM228,742$5,261,066,0002013-06-302013-08-13
Liberty Interactive Corp
CUSIP 53071M104
COM228,177$5,250,353,0002013-06-302013-08-13
WISCONSIN ENERGY COM USD0.01
CUSIP 976657106
COM125,953$5,161,554,0002013-06-302013-08-13
STARWOOD HTLS WRLD COM STK USD0.01
CUSIP 85590A401
COM81,549$5,153,081,0002013-06-302013-08-13
FOREST LABS INC COM USD0.10
CUSIP 345838106
COM125,645$5,150,189,0002013-06-302013-08-13
SIRIUS SATELLITE R COM USD0.001
CUSIP 82967N108
COM1,497,581$4,986,945,0002013-06-302013-08-13
KANSAS CITY STHN I
CUSIP 485170302
COM47,050$4,986,359,0002013-06-302013-08-13
STAPLES INC COM USD0.0006
CUSIP 855030102
COM309,557$4,909,574,0002013-06-302013-08-13
NYSE EURONEXT INC COM STK USD0.01
CUSIP 629491101
COM114,961$4,757,086,0002013-06-302013-08-13
L BRANDS INC COM USD0.50
CUSIP 501797104
COM96,044$4,730,167,0002013-06-302013-08-13
C R BARD INC
CUSIP 067383109
COM43,101$4,683,786,0002013-06-302013-08-13
CITRIX SYSTEMS INC COM USD0.001
CUSIP 177376100
COM77,363$4,667,310,0002013-06-302013-08-13
PERRIGO CO COM
CUSIP 714290103
COM38,443$4,651,603,0002013-06-302013-08-13
JUNIPER NETWORKS COM USD0.00001
CUSIP 48203R104
United StatesCOM235,828$4,549,122,0002013-06-302013-08-13
GREEN MT COFFEE R COM USD0.10
CUSIP 393122106
COM59,953$4,500,672,0002013-06-302013-08-13
XILINX INC COM USD0.01
CUSIP 983919101
COM112,689$4,463,611,0002013-06-302013-08-13
CA Inc
CUSIP 12673P105
COM155,089$4,430,893,0002013-06-302013-08-13
ALTERA COM USD0.001
CUSIP 021441100
COM130,865$4,315,928,0002013-06-302013-08-13
SIGMA ALDRICH CORP COM USD1
CUSIP 826552101
COM52,138$4,189,810,0002013-06-302013-08-13
HERTZ GLOBAL HOLDI COM STK USD0.01
CUSIP 42805T105
COM169,502$4,181,614,0002013-06-302013-08-13
STERICYCLE INC COM USD0.01
CUSIP 858912108
United StatesCOM37,762$4,169,680,0002013-06-302013-08-13
LABORATORY CORP OF AMERICA
CUSIP 50540R409
United StatesCOM41,501$4,152,175,0002013-06-302013-08-13

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