AVIVA INVESTORS GLOBAL SERVICES LTD — 13F Holdings

2001 Q1  ·  316 Positions

2001 Q1 Portfolio Activity

In 2001 Q1, AVIVA INVESTORS GLOBAL SERVICES LTD maintained a portfolio of 316 distinct positions.
Position History hover any row below to update
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AVIVA INVESTORS GLOBAL SERVICES LTD London Global Asset Manager / Insurance Asset Manager AUM $760M
PCA Score Concentration Risk
Risk ENB
Total Positions
316
Quarter
2001 Q1
Top Holding
ELN (70.0%)
Top 10 Concentration
80.8%
Turnover Rate
23.4%
Sector HHI
0.18
Items per page:
Showing 1-50 of 316

AVIVA INVESTORS GLOBAL SERVICES LTD Full Holdings List — 2001 Q1

Stock History Sector / Type Port % Prev % Rank / Prev Conviction
Freshness
Change % Change Influence Shares Mkt Value Avg Cost Price Held 1st Owned Source Source Date Date Reported
ELN
ELAN PLC,ADR,
Unknown 70.00% #1
Prev: #—
9.5
1,765,333
NEW
1,765,333 $922,391,765,333 2001 Q1 13F Filing 2001-03-31 2001-05-15 (Est.)
GE
GENERAL ELEC CO...
Industrials 1.73% #2
Prev: #—
5.7
544,800
NEW
544,800 $22,805,544,800 2001 Q1 13F Filing 2001-03-31 2001-05-15 (Est.)
TMX
TELEFONOS DE ME...
Unknown 1.51% #3
Prev: #—
5.1
631,229
NEW
631,229 $19,909,631,229 2001 Q1 13F Filing 2001-03-31 2001-05-15 (Est.)
PBR/A
PETROL BRASILEI...
Energy 1.32% #4
Prev: #—
4.5
801,033
NEW
801,033 $17,422,801,033 2001 Q1 13F Filing 2001-03-31 2001-05-15 (Est.)
MSFT
MICROSOFT CORP,...
Technology 1.25% #5
Prev: #—
4.5
301,100
NEW
301,100 $16,466,301,100 2001 Q1 13F Filing 2001-03-31 2001-05-15 (Est.)
XOM
EXXON MOBIL COR...
Energy 1.08% #6
Prev: #—
3.9
176,491
NEW
176,491 $14,296,176,491 2001 Q1 13F Filing 2001-03-31 2001-05-15 (Est.)
PFE
PFIZER INC,COM,
Healthcare 1.06% #7
Prev: #—
3.9
340,625
NEW
340,625 $13,949,340,625 2001 Q1 13F Filing 2001-03-31 2001-05-15 (Est.)
WMT
WAL MART STORES...
Consumer Defensive 0.99% #8
Prev: #—
3.9
257,650
NEW
257,650 $13,011,257,650 2001 Q1 13F Filing 2001-03-31 2001-05-15 (Est.)
C
CITIGROUP INC,C...
Financial Services 0.97% #9
Prev: #—
3.9
283,015
NEW
283,015 $12,730,283,015 2001 Q1 13F Filing 2001-03-31 2001-05-15 (Est.)
N/A
KOREA TELECOM,S...
Unknown 0.92% #10
Prev: #—
3.9
519,637
NEW
519,637 $12,066,519,637 13F Filing 2001-03-31 2001-05-15 (Est.)
MRK
MERCK & CO INC,...
Healthcare 0.78% #11
Prev: #—
3.8
135,650
NEW
135,650 $10,296,135,650 2001 Q1 13F Filing 2001-03-31 2001-05-15 (Est.)
IBM
INTENATIONAL BU...
Technology 0.78% #12
Prev: #—
3.8
106,650
NEW
106,650 $10,258,106,650 2001 Q1 13F Filing 2001-03-31 2001-05-15 (Est.)
AIG
AMERICAN INTL G...
Financial Services 0.77% #13
Prev: #—
3.8
126,762
NEW
126,762 $10,204,126,762 2001 Q1 13F Filing 2001-03-31 2001-05-15 (Est.)
INTC
INTEL CORP,COM,
Technology 0.76% #14
Prev: #—
3.8
380,100
NEW
380,100 $10,001,380,100 2001 Q1 13F Filing 2001-03-31 2001-05-15 (Est.)
N/A
COMPANHIA VALE ...
Unknown 0.74% #15
Prev: #—
3.8
395,496
NEW
395,496 $9,729,395,496 13F Filing 2001-03-31 2001-05-15 (Est.)
N/A
COMPANHIA DE BE...
Unknown 0.68% #16
Prev: #—
3.8
383,992
NEW
383,992 $8,966,383,992 13F Filing 2001-03-31 2001-05-15 (Est.)
AOL
AOL TIME WARNER...
Unknown 0.68% #17
Prev: #—
3.8
223,125
NEW
223,125 $8,958,223,125 2001 Q1 13F Filing 2001-03-31 2001-05-15 (Est.)
AMXN
AMERICA MOVIL S...
Unknown 0.60% #18
Prev: #—
3.7
539,529
NEW
539,529 $7,904,539,529 2001 Q1 13F Filing 2001-03-31 2001-05-15 (Est.)
VZ
VERIZON COMMUNI...
Communication Services 0.59% #19
Prev: #—
3.7
158,244
NEW
158,244 $7,801,158,244 2001 Q1 13F Filing 2001-03-31 2001-05-15 (Est.)
SBC
SBC COMMUNICATI...
Industrials 0.57% #20
Prev: #—
3.7
168,402
NEW
168,402 $7,516,168,402 2001 Q1 13F Filing 2001-03-31 2001-05-15 (Est.)
VOD
VODAFONE GROUP ...
Communication Services 0.56% #21
Prev: #—
3.7
270,250
NEW
270,250 $7,337,270,250 2001 Q1 13F Filing 2001-03-31 2001-05-15 (Est.)
BMY
BRISTOL MYERS S...
Healthcare 0.52% #22
Prev: #—
3.7
116,040
NEW
116,040 $6,893,116,040 2001 Q1 13F Filing 2001-03-31 2001-05-15 (Est.)
MO
PHILIP MORRIS C...
Consumer Defensive 0.52% #23
Prev: #—
3.7
145,060
NEW
145,060 $6,883,145,060 2001 Q1 13F Filing 2001-03-31 2001-05-15 (Est.)
CSCO
CISCO SYSTEMS,C...
Technology 0.48% #24
Prev: #—
3.7
402,000
NEW
402,000 $6,357,402,000 2001 Q1 13F Filing 2001-03-31 2001-05-15 (Est.)
ENI
ENERSIS S A,SPO...
Unknown 0.43% #25
Prev: #—
3.7
336,793
NEW
336,793 $5,641,336,793 2001 Q1 13F Filing 2001-03-31 2001-05-15 (Est.)
KO
COCA COLA CO,CO...
Consumer Defensive 0.42% #26
Prev: #—
3.7
123,250
NEW
123,250 $5,566,123,250 2001 Q1 13F Filing 2001-03-31 2001-05-15 (Est.)
T
AT&T CORP,COM,
Communication Services 0.39% #27
Prev: #—
3.7
241,405
NEW
241,405 $5,142,241,405 2001 Q1 13F Filing 2001-03-31 2001-05-15 (Est.)
ORCL
ORACLE CORP,COM...
Technology 0.37% #28
Prev: #—
3.6
325,400
NEW
325,400 $4,874,325,400 2001 Q1 13F Filing 2001-03-31 2001-05-15 (Est.)
JPM
J P MORGAN CHAS...
Financial Services 0.36% #29
Prev: #—
3.6
104,920
NEW
104,920 $4,711,104,920 2001 Q1 13F Filing 2001-03-31 2001-05-15 (Est.)
HD
HOME DEPOT INC,...
Consumer Cyclical 0.33% #30
Prev: #—
3.6
100,250
NEW
100,250 $4,321,100,250 2001 Q1 13F Filing 2001-03-31 2001-05-15 (Est.)
CCU
COMPANIA CERVEC...
Consumer Defensive 0.31% #31
Prev: #—
3.6
158,947
NEW
158,947 $4,149,158,947 2001 Q1 13F Filing 2001-03-31 2001-05-15 (Est.)
BLS
BELLSOUTH CORP,...
Unknown 0.31% #32
Prev: #—
3.6
100,900
NEW
100,900 $4,129,100,900 2001 Q1 13F Filing 2001-03-31 2001-05-15 (Est.)
TV
GRUPO TELEVISA ...
Communication Services 0.31% #33
Prev: #—
3.6
122,420
NEW
122,420 $4,090,122,420 2001 Q1 13F Filing 2001-03-31 2001-05-15 (Est.)
DIS
DISNEY WALT CO,...
Communication Services 0.30% #34
Prev: #—
3.6
136,100
NEW
136,100 $3,892,136,100 2001 Q1 13F Filing 2001-03-31 2001-05-15 (Est.)
N/A
COMPANHIA BRASI...
Unknown 0.29% #35
Prev: #—
3.6
123,329
NEW
123,329 $3,836,123,329 13F Filing 2001-03-31 2001-05-15 (Est.)
DELL
DELL COMPUTER C...
Technology 0.29% #36
Prev: #—
3.6
149,300
NEW
149,300 $3,835,149,300 2001 Q1 13F Filing 2001-03-31 2001-05-15 (Est.)
TSM
TAIWAN SEMICOND...
Technology 0.29% #37
Prev: #—
3.6
194,700
NEW
194,700 $3,797,194,700 2001 Q1 13F Filing 2001-03-31 2001-05-15 (Est.)
N/A
COMPANIA DE TEL...
Unknown 0.28% #38
Prev: #—
3.6
276,941
NEW
276,941 $3,656,276,941 13F Filing 2001-03-31 2001-05-15 (Est.)
EMC
E M C CORP MASS...
Unknown 0.28% #39
Prev: #—
3.6
123,700
NEW
123,700 $3,637,123,700 2001 Q1 13F Filing 2001-03-31 2001-05-15 (Est.)
WCOM
WORLDCOM INC GA...
Unknown 0.28% #40
Prev: #—
3.6
194,329
NEW
194,329 $3,632,194,329 2001 Q1 13F Filing 2001-03-31 2001-05-15 (Est.)
EOC
EMPRESA NACIONA...
Unknown 0.25% #41
Prev: #—
3.6
283,173
NEW
283,173 $3,256,283,173 2001 Q1 13F Filing 2001-03-31 2001-05-15 (Est.)
UBB
UNIBANCO-UNIAO ...
Unknown 0.24% #42
Prev: #—
3.6
154,790
NEW
154,790 $3,158,154,790 2001 Q1 13F Filing 2001-03-31 2001-05-15 (Est.)
N/A
BANCO SANTANDER...
Unknown 0.24% #43
Prev: #—
3.6
192,473
NEW
192,473 $3,099,192,473 13F Filing 2001-03-31 2001-05-15 (Est.)
N/A
ADMINISRADORA F...
Unknown 0.23% #44
Prev: #—
3.6
123,610
NEW
123,610 $2,986,123,610 13F Filing 2001-03-31 2001-05-15 (Est.)
JAVA
SUN MICROSYSTEM...
Unknown 0.18% #45
Prev: #—
3.6
150,900
NEW
150,900 $2,319,150,900 2001 Q1 13F Filing 2001-03-31 2001-05-15 (Est.)
N/A
TELE NORTE LEST...
Unknown 0.17% #46
Prev: #—
3.6
134,926
NEW
134,926 $2,197,134,926 13F Filing 2001-03-31 2001-05-15 (Est.)
N/A
COMPANIA ANONIM...
Unknown 0.17% #47
Prev: #—
3.6
112,861
NEW
112,861 $2,195,112,861 13F Filing 2001-03-31 2001-05-15 (Est.)
N/A
DISTRIBUCION Y ...
Unknown 0.16% #48
Prev: #—
3.6
164,628
NEW
164,628 $2,157,164,628 13F Filing 2001-03-31 2001-05-15 (Est.)
KOFG
KOREA FD,COM,
Unknown 0.16% #49
Prev: #—
3.6
228,000
NEW
228,000 $2,075,228,000 2001 Q1 13F Filing 2001-03-31 2001-05-15 (Est.)
N/A
LATIN AMERN DIS...
Unknown 0.14% #50
Prev: #—
3.6
187,900
NEW
187,900 $1,813,187,900 13F Filing 2001-03-31 2001-05-15 (Est.)
Showing 1-50 of 316 holdings

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