NS Partners Ltd

Institutional InvestorSimilar funds →SEC EDGAR: CIK 1657111
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13F Reported Value

ⓘ

$2.3B

Holdings

77

Latest Filing

2026-06-30

Filing Quarter

Q2 2026

Portfolio Overview

NS Partners Ltd disclosed 77 positions worth $2.3B in its Form 13F-HR for Q2 2026, led by $NVDA (NVIDIA CORP) at 8.4% of the equity portfolio, followed by $GOOGL and $AAPL. During the quarter the fund opened 17 new positions and exited 11 — including a new stake in $AMD and a full exit from $ZTS. The portfolio is most concentrated in Technology (53.3% of disclosed assets). All figures are sourced directly from NS Partners Ltd’s Form 13F-HR filing with the SEC under CIK 1657111.

Sector Allocation

TechnologyFinancialsConsumer DiscretionaryHealthcareConsumer StaplesEnergy

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AUM History

13fpro.ai/research/fund/ns-partners-ltd-1657111

Top Equity Holdings by Value

13fpro.ai/research/fund/ns-partners-ltd-1657111

Quarterly Activity — Q2 2026

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Top Holdings

AI Quality Scored

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32-signal composite ranking on each of NS Partners Ltd's 77 positions.

Showing top 10 of 77 holdings.

Sector Allocation

Technology

$1.2B

Financials

$315.1M

Consumer Discretionary

$201.5M

Healthcare

$176.3M

Consumer Staples

$97.0M

Energy

$76.7M

Industrials

$75.4M

Utilities

$75.1M

Full Holdings — NS Partners Ltd (Q2 2026)

All 77 disclosed positions from the latest Form 13F-HR, with quarter-over-quarter share changes and 13F Pro quality scores. Sourced from SEC EDGAR.

TickerCompanyValue
NVDA$NVDANVIDIA CORP$195.5M
GOOGL$GOOGLAlphabet Inc.$176.1M
AAPL$AAPLApple Inc.$150.0M
MSFT$MSFTMICROSOFT CORP$122.6M
AMZN$AMZNAMAZON COM INC$103.1M
AMAT$AMATAPPLIED MATERIALS INC /DE$100.8M
AVGO$AVGOBroadcom Inc.$66.7M
META$METAMeta Platforms, Inc.$64.3M
JPM$JPMJPMORGAN CHASE & CO$61.3M
BRK.B$BRK.BBERKSHIRE HATHAWAY INC$59.6M
UNH$UNHUNITEDHEALTH GROUP INC$57.9M
MU$MUMICRON TECHNOLOGY INC$50.4M
V$VVISA INC.$49.1M
MA$MAMastercard Inc$47.4M
GEV$GEVGE Vernova Inc.$41.8M
AMD$AMDADVANCED MICRO DEVICES INC$41.6M
MAR$MARMARRIOTT INTERNATIONAL INC /MD/$40.1M
GE$GEGENERAL ELECTRIC CO$39.8M
NEE$NEENEXTERA ENERGY INC$37.1M
WEC$WECWEC ENERGY GROUP, INC.$35.8M
KO$KOCOCA COLA CO$34.7M
LLY$LLYELI LILLY & Co$34.5M
BAC$BACBANK OF AMERICA CORP /DE/$32.9M
PM$PMPhilip Morris International Inc.$31.9M
TSM$TSMTAIWAN SEMICONDUCTOR MANUFACTURING CO LTD$30.9M
MNST$MNSTMonster Beverage Corp$29.8M
LRCX$LRCXLAM RESEARCH CORP$27.5M
VIST$VISTVista Energy, S.A.B. de C.V.$27.5M
YUM$YUMYUM BRANDS INC$27.4M
HDB$HDBHDFC BANK LTD$26.6M
SYK$SYKSTRYKER CORP$26.3M
VRSN$VRSNVERISIGN INC/CA$24.9M
XOM.R34088$XOM.R34088EXXON MOBIL CORP$23.4M
TMUS$TMUST-Mobile US, Inc.$22.7M
INTC$INTCINTEL CORP$22.5M
LIN$LINLINDE PLC$21.0M
CVX$CVXCHEVRON CORP$21.0M
WFC$WFCWELLS FARGO & COMPANY/MN$20.8M
AZO$AZOAUTOZONE INC$19.1M
ISRG$ISRGINTUITIVE SURGICAL INC$18.2M
ITUB$ITUBItau Unibanco Holding S.A.$17.0M
APH$APHAMPHENOL CORP /DE/$17.0M
NOC$NOCNORTHROP GRUMMAN CORP /DE/$15.4M
IDXX$IDXXIDEXX LABORATORIES INC /DE$15.2M
LMT$LMTLOCKHEED MARTIN CORP$14.1M
FLEX$FLEXFLEX LTD.$13.5M
SNPS$SNPSSYNOPSYS INC$13.2M
BSX$BSXBOSTON SCIENTIFIC CORP$12.4M
EW$EWEdwards Lifesciences Corp$11.8M
MCD$MCDMCDONALDS CORP$11.1M
CCI$CCICROWN CASTLE INC.$11.1M
T$TAT&T INC.$10.3M
TXN$TXNTEXAS INSTRUMENTS INC$9.6M
VRT$VRTVertiv Holdings Co$9.5M
HON$HONHONEYWELL INTERNATIONAL INC$9.2M
HONA$HONAHoneywell Aerospace Inc.$9.0M
CSCO$CSCOCISCO SYSTEMS, INC.$8.8M
ORCL$ORCLORACLE CORP$8.7M
CAT$CATCATERPILLAR INC$6.8M
MRVL$MRVLMarvell Technology, Inc.$6.8M
ALLE$ALLEAllegion plc$6.6M
VALE$VALEVale S.A.$5.8M
GLOB$GLOBGlobant S.A.$4.8M
PBR$PBRPETROBRAS - PETROLEO BRASILEIRO SA$4.8M
WAT$WATWATERS CORP /DE/$2.4M
SBS$SBSCOMPANHIA DE SANEAMENTO BASICO DO ESTADO DE SAO PAULO-SABESP$2.1M
LITE$LITELumentum Holdings Inc.$1.7M
FN$FNFabrinet$1.6M
RYAAY$RYAAYRYANAIR HOLDINGS PLC$1.2M
BIDU$BIDUBaidu, Inc.$1.2M
UNP$UNPUNION PACIFIC CORP$963,968
PG$PGPROCTER & GAMBLE Co$574,536
HD$HDHOME DEPOT, INC.$485,288
CME$CMECME GROUP INC.$424,877
TECK$TECKTECK RESOURCES LTD$351,048
HTHT$HTHTH World Group Ltd$312,900
VZ$VZVERIZON COMMUNICATIONS INC$248,959

New Positions (17)

AMD$AMD ADVANCED MICRO DEVICES INC$41.6M
LRCX$LRCX LAM RESEARCH CORP$27.5M
INTC$INTC INTEL CORP$22.5M
LIN$LIN LINDE PLC$21.0M
ITUB$ITUB Itau Unibanco Holding S.A.$17.0M
FLEX$FLEX FLEX LTD.$13.5M
TXN$TXN TEXAS INSTRUMENTS INC$9.6M
VRT$VRT Vertiv Holdings Co$9.5M
HONA$HONA Honeywell Aerospace Inc.$9.0M
CSCO$CSCO CISCO SYSTEMS, INC.$8.8M
ORCL$ORCL ORACLE CORP$8.7M
CAT$CAT CATERPILLAR INC$6.8M
MRVL$MRVL Marvell Technology, Inc.$6.8M
GLOB$GLOB Globant S.A.$4.8M
LITE$LITE Lumentum Holdings Inc.$1.7M

Exited Positions (11)

ZTS$ZTS Zoetis Inc.
FUTU$FUTU Futu Holdings Ltd
BAP$BAP CREDICORP LTD
SBUX$SBUX STARBUCKS CORP
NKE$NKE NIKE, Inc.
MKC$MKC MCCORMICK & CO INC
BDX$BDX BECTON DICKINSON & CO
EL$EL ESTEE LAUDER COMPANIES INC
MASI$MASI MASIMO CORP
STZ$STZ CONSTELLATION BRANDS, INC.
SUZ$SUZ Suzano S.A.

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