British Airways Pensions Investment Management Ltd
Reported holdings as of Q2 2021, from 11 quarterly filings.
This filer last reported in Q2 2021; the most recent quarter on file across all filers is Q2 2026. Firms that restructure stop filing under one CIK and start under another, so a successor entity may hold these positions now under a similar name.
Holdings
| Security | Ticker | Value | Shares | Weight | Weight change | Held | Change |
|---|---|---|---|---|---|---|---|
| ISHARES TR | IVV | $425.6M | 1,069,750 | flat | 11q | HELD | |
| VANGUARD INDEX FDS | VOO | $324.7M | 891,400 | flat | 11q | HELD | |
| APPLE INC | AAPL | $91.2M | 746,336 | flat | 11q | HELD | |
| ALIBABA GROUP HLDG LTD | BABA | $84.2M | 371,337 | flat | 11q | HELD | |
| MICROSOFT CORP | MSFT | $82.0M | 347,717 | flat | 11q | HELD | |
| STATE STR SPDR S&P 500 ETF T | SPY | $77.7M | 196,073 | flat | 11q | HELD | |
| AMAZON COM INC | AMZN | $60.8M | 19,657 | flat | 11q | HELD | |
| ALPHABET INC | GOOGL | $42.8M | 20,758 | flat | 11q | HELD | |
| SELECT SECTOR SPDR TR | XLU | $40.9M | 638,288 | flat | 11q | HELD | |
| JPMORGAN CHASE & CO | JPM | $38.7M | 254,200 | flat | 11q | HELD | |
| SELECT SECTOR SPDR TR | XLRE | $36.8M | 930,984 | flat | 11q | HELD | |
| JOHNSON & JOHNSON | JNJ | $33.8M | 205,847 | flat | 11q | HELD | |
| META PLATFORMS INC | META | $33.2M | 112,594 | flat | 11q | HELD | |
| UNITEDHEALTH GROUP INC | UNH | $30.4M | 81,580 | flat | 11q | HELD | |
| ALPHABET INC | GOOG | $28.8M | 13,913 | flat | 11q | HELD | |
| COMCAST CORP NEW | CMCSA | $26.1M | 482,897 | flat | 11q | HELD | |
| JD.COM INC | JD | $25.6M | 303,515 | flat | 6q | HELD | |
| BROADCOM INC | AVGO | $23.1M | 49,769 | flat | 11q | HELD | |
| NVIDIA CORPORATION | NVDA | $22.8M | 42,642 | flat | 5q | HELD | |
| THERMO FISHER SCIENTIFIC INC | TMO | $21.1M | 46,279 | flat | 11q | HELD | |
| TRUIST FINL CORP | TFC | $21.0M | 359,627 | flat | 5q | HELD | |
| DEERE & CO | DE | $19.8M | 52,862 | flat | 4q | HELD | |
| STARBUCKS CORP | SBUX | $19.1M | 175,115 | flat | 4q | HELD | |
| COCA COLA CO | KO | $18.8M | 356,013 | flat | 11q | HELD | |
| CSX CORP | CSX | $18.7M | 193,495 | flat | 3q | HELD | |
| PHILIP MORRIS INTL INC | PM | $18.3M | 206,504 | flat | 2q | HELD | |
| MARSH & MCLENNAN COS INC | MRSH | $18.2M | 149,407 | flat | 10q | HELD | |
| CHEVRON CORPORATION | CVX | $18.1M | 172,284 | flat | 11q | HELD | |
| GLOBAL PMTS INC | GPN | $17.8M | 88,383 | flat | 3q | HELD | |
| GOLDMAN SACHS GROUP INC | GS | $17.5M | 53,486 | flat | 8q | HELD | |
| PARKER-HANNIFIN CORP | PH | $17.4M | 55,032 | flat | 8q | HELD | |
| ZIMMER BIOMET HOLDINGS INC | ZBH | $17.4M | 108,417 | flat | 7q | HELD | |
| CITIZENS FINL GROUP INC | CFG | $17.3M | 392,672 | flat | 7q | HELD | |
| INGERSOLL RAND INC | IR | $17.2M | 348,785 | flat | 3q | HELD | |
| HILTON WORLDWIDE HLDGS INC | HLT | $16.9M | 139,905 | flat | 2q | HELD | |
| LEAR CORP | LEA | $16.9M | 93,236 | flat | 3q | HELD | |
| PPG INDS INC | PPG | $16.8M | 111,722 | flat | 4q | HELD | |
| VISA INC | V | $16.7M | 78,919 | flat | 11q | HELD | |
| NXP SEMICONDUCTORS N V | NXPI | $16.6M | 82,395 | flat | 7q | HELD | |
| SERVICENOW INC | NOW | $16.4M | 32,761 | flat | 11q | HELD | |
| STELLANTIS N.V | STLA | $16.3M | 922,022 | flat | 2q | HELD | |
| SYSCO CORP | SYY | $16.3M | 206,712 | flat | 3q | HELD | |
| TESLA INC | TSLA | $16.1M | 24,160 | flat | 3q | HELD | |
| PROCTER & GAMBLE CO | PG | $15.9M | 117,088 | flat | 11q | HELD | |
| HOME DEPOT INC | HD | $15.5M | 50,746 | flat | 11q | HELD | |
| MICRON TECHNOLOGY INC | MU | $15.3M | 173,774 | flat | 3q | HELD | |
| DISNEY WALT CO | DIS | $15.3M | 82,755 | flat | 11q | HELD | |
| UNITED RENTALS INC | URI | $15.1M | 45,948 | flat | 5q | HELD | |
| MASTERCARD INCORPORATED | MA | $14.8M | 41,510 | flat | 10q | HELD | |
| REGAL REXNORD CORPORATION | RRX | $14.6M | 102,428 | flat | 4q | HELD | |
| CHUBB LIMITED | CB | $14.5M | 92,100 | flat | 3q | HELD | |
| SAIA INC | SAIA | $13.8M | 59,682 | flat | 3q | HELD | |
| BANK OF AMER CORP | BAC | $13.7M | 353,225 | flat | 2q | HELD | |
| AUTOZONE INC | AZO | $13.5M | 9,603 | flat | 11q | HELD | |
| BRISTOL-MYERS SQUIBB CO | BMY | $13.5M | 213,424 | flat | 7q | HELD | |
| FIVE BELOW INC | FIVE | $13.5M | 70,522 | flat | 4q | HELD | |
| BAIDU INC | BIDU | $13.4M | 61,514 | flat | 3q | HELD | |
| PAYPAL HLDGS INC | PYPL | $13.4M | 55,034 | flat | 4q | HELD | |
| ZEBRA TECHNOLOGIES CORPORATI | ZBRA | $13.2M | 27,259 | flat | 5q | HELD | |
| AUTOLIV INC | ALV | $12.9M | 138,977 | flat | 3q | HELD | |
| FIRST REP BK SAN FRANCISCO C | FRCB | $12.7M | 75,992 | flat | 3q | HELD | |
| INTEL CORP | INTC | $12.7M | 197,873 | flat | 11q | HELD | |
| CHIPOTLE MEXICAN GRILL INC | CMG | $12.6M | 8,878 | flat | 6q | HELD | |
| INSULET CORP | PODD | $12.6M | 48,322 | flat | 4q | HELD | |
| FMC CORP | FMC | $12.6M | 113,683 | flat | 7q | HELD | |
| QORVO INC | QRVO | $12.5M | 68,456 | flat | 5q | HELD | |
| AMEDISYS INC | AMED | $12.3M | 46,464 | flat | 7q | HELD | |
| FREEPORT-MCMORAN INC | FCX | $12.3M | 372,945 | flat | 5q | HELD | |
| APTIV PLC | APTVXXXX | $11.9M | 86,320 | flat | 5q | HELD | |
| PACIRA BIOSCIENCES INC | PCRX | $11.7M | 166,544 | flat | 4q | HELD | |
| BERKSHIRE HATHAWAY INC DEL | BRKB | $11.4M | 44,607 | flat | 11q | HELD | |
| VERIZON COMMUNICATIONS INC | VZ | $11.3M | 194,250 | flat | 11q | HELD | |
| COPART INC | CPRT | $11.2M | 103,461 | flat | 4q | HELD | |
| EXXON MOBIL CORP | XOMXXXX | $10.9M | 195,857 | flat | 11q | HELD | |
| AT&T INC | T | $10.2M | 336,761 | flat | 11q | HELD | |
| FERGUSON PLC NEW | FERGXXXX | $10.1M | 84,421 | flat | 2q | HELD | |
| PDD HOLDINGS INC | PDD | $10.0M | 74,356 | flat | 3q | HELD | |
| ABBOTT LABORATORIES | ABT | $9.9M | 83,025 | flat | 11q | HELD | |
| IDEX CORP | IEX | $9.9M | 47,290 | flat | 6q | HELD | |
| VALMONT INDS INC | VMI | $9.9M | 41,508 | flat | 2q | HELD | |
| PFIZER INC | PFE | $9.3M | 255,692 | flat | 11q | HELD | |
| MONSTER BEVERAGE CORP NEW | MNST | $9.2M | 101,082 | flat | 4q | HELD | |
| WALMART INC | WMT | $9.1M | 66,673 | flat | 11q | HELD | |
| MERCK & CO INC | MRK | $9.0M | 117,219 | flat | 11q | HELD | |
| PAYLOCITY HLDG CORP | PCTY | $8.1M | 45,122 | flat | 3q | HELD | |
| ADOBE INC | ADBE | $8.1M | 16,968 | flat | 11q | HELD | |
| NIKE INC | NKE | $7.7M | 58,134 | flat | 8q | HELD | |
| NETEASE COM INC | NTES | $7.6M | 73,911 | flat | 11q | HELD | |
| COSTCO WHOLESALE CORPORATION | COST | $7.4M | 21,027 | flat | 11q | HELD | |
| ELI LILLY & CO | LLY | $7.4M | 39,442 | flat | 11q | HELD | |
| UNION PAC CORP | UNP | $7.0M | 31,933 | flat | 11q | HELD | |
| QUALCOMM INC | QCOM | $7.0M | 52,451 | flat | 9q | HELD | |
| AMGEN INC | AMGN | $6.7M | 26,854 | flat | 11q | HELD | |
| BOEING CO | BA | $6.2M | 24,154 | flat | 11q | HELD | |
| TRIP COM GROUP LTD | TCOM | $5.3M | 134,200 | flat | 3q | HELD | |
| NIO INC | NIO | $3.9M | 99,912 | flat | 3q | HELD |
By sector
Industry comes from the SIC code on each company's own SEC filings, which is self-reported and sometimes out of date. Derivative exposure is counted with the shares. Securities the SEC assigns no industry - funds, trusts, foreign issues - are shown as not classified rather than dropped.
| Sector | Value | Share |
|---|---|---|
| Software & IT Services | $240.3M | 9.4% |
| Business Services | $194.2M | 7.6% |
| Retail & Consumer | $188.3M | 7.4% |
| Semiconductors & Electronics | $109.9M | 4.3% |
| Industrials | $101.9M | 4.0% |
| Biotech & Pharma | $101.3M | 4.0% |
| Computer Hardware | $91.2M | 3.6% |
| Banks & Lending | $90.7M | 3.6% |
| Funds & ETFs | $77.7M | 3.1% |
| Insurance | $74.5M | 2.9% |
| Autos & Aerospace | $72.3M | 2.8% |
| Telecom & Media | $62.9M | 2.5% |
| Other sectors | $253.9M | 10.0% |
| Not classified | $885.9M | 34.8% |
Quarter by quarter
| Quarter | Value | Positions | New | Added | Trimmed | Exited | Top 10 | Days to file |
|---|---|---|---|---|---|---|---|---|
| Q2 2021 | $2.5B | 96 | 0 | 0 | 0 | 0 | 49.8% | 36 |
| Q1 2021 | $2.5B | 96 | 6 | 23 | 67 | 7 | 49.8% | 27 |
| Q4 2020 | $2.6B | 97 | 18 | 20 | 58 | 19 | 51.6% | 22 |
| Q3 2020 | $2.5B | 98 | 15 | 19 | 23 | 9 | 54.0% | 28 |
| Q2 2020 | $2.3B | 92 | 14 | 23 | 27 | 16 | 54.6% | 35 |
| Q1 2020 | $1.9B | 94 | 18 | 30 | 23 | 20 | 54.6% | 24 |
| Q4 2019 | $2.4B | 96 | 14 | 21 | 60 | 21 | 52.1% | 27 |
| Q3 2019 | $2.4B | 103 | 17 | 11 | 75 | 17 | 52.2% | 35 |
| Q2 2019 | $2.7B | 103 | 14 | 17 | 41 | 8 | 49.8% | 39 |
| Q1 2019 | $2.7B | 97 | 10 | 26 | 29 | 10 | 50.9% | 43 |
| Q4 2018 | $2.3B | 97 | 0 | 0 | 0 | 0 | 50.6% | 46 |
Rows marked UNVERIFIED ID, PLACEHOLDER ID, TICKER AS ID or NON-CUSIP ID carry an identifier that is not a valid CUSIP. They are shown because the filer reported that money, but treat the security named with caution - hover the chip for what is wrong with it, and see the methodology.
Held counts consecutive filings in which this manager reported the position, and can reach further back than the quarters listed above: the tabs begin at Q4 2018 because earlier coverage is too sparse to describe a market, but tenure is counted over every filing we hold, some reaching to 2007. A position sold and later rebought starts again from one.
Weight change is the shift in this position's share of the whole book, in percentage points. It is the more useful column: when money flows into or out of a broad fund, almost every holding is bought or sold at once, so added and trimmed largely track flows. A weight that rose while the book shrank is a decision. Both compare with the previous quarter this filer reported, not the previous calendar quarter.