Instuitional Investor - Troy Asset Management Ltd

Fund Profile
Filing Period:
Fund Name: Troy Asset Management Ltd
Portfolio Value $2,981,251,267
Filing Period:
No. Security Ticker Shares Value % Port
1. V 1,585,335 $501,029,273 16.8%
2. GOOGL 2,323,972 $439,927,900 14.75%
3. MSFT 847,778 $357,338,427 11.98%
4. VRSN 914,543 $189,273,819 6.34%
5. AXP 458,534 $136,088,306 4.56%