Artemis Investment Management LLP

Holdings as of 2026-06-30, filed 2026-07-23

This is history, not a current position. These holdings describe 2026-06-30, and the report became public 23 days later. The portfolio has changed since.

Aggregates

computed from the positions below
Positions reported
213
Value reported by manager
$11.2B
Sum of our stored positions
$11.2B
should match the line above
Disclosure lag
23 d
quarter end to filing
Top 5 concentration
12.6%
of the positions shown
New positions
0
vs previous quarter
Exited
0
vs previous quarter
Option positions
0
puts and calls

Positions

200 largest shown
IssuerClassValueSharesTypeCUSIP
CISCO SYS INCCOM$387.4M3,297,87817275R102
LAM RESEARCH CORPCOM NEW$279.4M644,861512807306
NVIDIA CORPORATIONCOM$261.4M1,306,45267066G104
ALPHABET INCCAP STK CL A$245.6M687,16202079K305
ASTRAZENECA PLCORD$239.2M1,279,269G0593M107
HUNT J B TRANS SVCS INCCOM$227.2M784,932445658107
FIRST HORIZON CORPORATIONCOM$184M7,176,822320517105
PFIZER INCCOM$183.3M7,612,597717081103
BANK NOVA SCOTIA B CCOM$179.7M2,069,239064149107
FRANKLIN RESOURCES INCCOM$176.7M5,311,209354613101
BRISTOL-MYERS SQUIBB COCOM$175.9M3,053,480110122108
KEYCORPCOM$174.7M7,578,604493267108
ATI INCCOM$165.9M841,49301741R102
ACCENTURE PLC IRELANDSHS CLASS A$163.2M1,311,102G1151C101
AMAZON COM INCCOM$155.5M652,527023135106
AXON ENTERPRISE INCCOM$151.2M269,75105464C101
GENERAL MTRS COCOM$136.8M1,775,27837045V100
CITIZENS FINL GROUP INCCOM$136.2M1,944,387174610105
FREEPORT MCMORAN INCCL B$132.4M2,105,12035671D857
BANK OF NY MELLON CORPCOM$129.3M894,290064058100
PLAINS GP HLDGS L PLTD PARTNR INT A$128M5,276,05772651A207
SLB LIMITEDCOM STK$125.5M2,698,954806857108
CRANE COMPANYCOMMON STOCK$125.3M561,550224408104
BIOGEN INCCOM$123.4M570,97409062X103
BANKUNITED INCCOM$123.1M2,541,44706652K103
TRUIST FINL CORPCOM$122.8M2,464,33889832Q109
ABBVIE INCCOM$121.4M482,59100287Y109
CENTERPOINT ENERGY INCCOM$121.4M2,756,24815189T107
JONES LANG LASALLE INCCOM$115.9M373,82648020Q107
ELI LILLY & COCOM$115.1M95,948532457108
NVENT ELEC PLCSHS$113.6M670,017G6700G107
WINTRUST FINL CORPCOM$111.9M695,96297650W108
SEAGATE TECHNOLOGY HLDNGS PLORD SHS$108.5M112,419G7997R103
EVERCORE INCCLASS A$107.8M315,76229977A105
MONGODB INCCL A$107M318,51760937P106
VALLEY NATL BANCORPCOM$106.6M7,276,674919794107
APPLIED MATLS INCCOM$106M146,571038222105
ADVANCED MICRO DEVICES INCCOM$104.6M180,142007903107
PETROLEO BRASILEIRO S ASPONSORED ADR$103M6,372,60671654V408
QUEST DIAGNOSTICS INCCOM$99.2M467,92174834L100
PARKER-HANNIFIN CORPCOM$98.4M100,623701094104
CREDICORP LTDCOM$97.8M250,931G2519Y108
GOLDMAN SACHS GROUP INCCOM$96.7M95,62838141G104
COHERENT CORPCOM$96.1M243,53519247G107
TARGA RES CORPCOM$92.6M345,52087612G101
UNITEDHEALTH GROUP INCCOM$88.4M212,68291324P102
CARDINAL HEALTH INCCOM$87.7M369,36014149Y108
VALE S ASPONSORED ADS$85.9M5,711,57691912E105
AGNICO EAGLE MINES LTDCOM$84.5M544,484008474108
EMBRAER S.A.SPONSORED ADS$80.5M1,261,68529082A107
SOMNIGROUP INTERNATIONAL INCCOM$80.2M1,022,75588023U101
DELL TECHNOLOGIES INCCL C$79.7M184,61224703L202
DIVERSIFIED ENERGY COCOMMON STOCK$78.5M5,677,23525520W107
AFFIRM HLDGS INCCOM CL A$78.4M961,00200827B106
TWILIO INCCL A$76.4M370,06690138F102
MICRON TECHNOLOGY INCCOM$76.3M66,073595112103
FIRST INDL RLTY TR INCCOM$75.9M1,237,48632054K103
ELANCO ANIMAL HEALTH INCCOM$73M2,966,64628414H103
BLOOM ENERGY CORPCOM CL A$72.7M240,059093712107
SIMON PPTY GROUP INC NEWCOM$72.2M322,889828806109
APPLE INCCOM$71.2M246,137037833100
CORNING INCCOM$70.6M276,358219350105
FLUTTER ENTMT PLCSHS$70.3M698,800G3643J108
ONTO INNOVATION INCCOM$70.2M185,614683344105
PAGSEGURO DIGITAL LTDCOM CL A$69.6M7,685,544G68707101
CULLEN FROST BANKERS INCCOM$67.5M436,543229899109
HUDBAY MINERALS INCCOM$67.3M2,851,946443628102
RYANAIR HOLDINGS PLCSPONSORED ADR$66.2M1,023,151783513203
KINROSS GOLD CORPCOM$65.5M2,774,381496902404
AXOGEN INCCOM$64.5M1,396,79205463X106
MKS INC.COM$63.2M141,98655306N104
HASBRO INCCOM$62.6M758,143418056107
ARCHER DANIELS MIDLAND COCOM$61.2M800,769039483102
HEWLETT PACKARD ENTERPRISE CCOM$60.9M1,349,30342824C109
WALMART INCCOM$58.2M513,555931142103
ELEMENT SOLUTIONS INCCOM$54.8M1,147,18228618M106
NATERA INCCOM$54.3M200,087632307104
BOOT BARN HLDGS INCCOM$52.8M321,675099406100
TEXAS INSTRS INCCOM$52.7M176,870882508104
TALEN ENERGY CORPCOM$51.7M134,63987422Q109
BAKER HUGHES COMPANYCL A$51.7M931,83205722G100
DEUTSCHE BK AGNAMEN AKT$49.4M1,460,491D18190898
BURLINGTON STORES INCCOM$48.7M153,801122017106
CITIGROUP INCCOM NEW$48.3M345,256172967424
WAYFAIR INCCL A$47.3M511,86894419L101
GLOBUS MED INCCL A$45.3M573,420379577208
ADVANCED ENERGY INDSCOM$44.3M118,889007973100
PROCTER & GAMBLE COCOM$42.6M290,800742718109
SERVICENOW INCCOM$42.5M428,37481762P102
PALOMAR HLDGS INCCOM$42.2M333,96869753M105
TAIWAN SEMICONDUCTOR MANUFACSPONSORED ADS$40.5M84,877874039100
COMFORT SYS USA INCCOM$38.8M19,556199908104
MIZUHO FINANCIAL GROUP INCSPONSORED ADR$38.6M4,026,31660687Y109
DIODES INCCOM$38.5M351,347254543101
VERACYTE INCCOM$37.5M638,93392337F107
SANDISK CORPCOM$37.3M16,41080004C200
VALERO ENERGY CORPCOM$36M138,07991913Y100
SPHERE ENTERTAINMENT COCL A$35.4M204,60655826T102
IREN LIMITEDORDINARY SHARES$33.8M739,723Q4982L109
COMMERCIAL METALS COCOM$33.8M538,728201723103
ROCKET COS INCCOM CL A$31.1M1,971,95277311W101
NISOURCE INCCOM$30.9M650,61665473P105
LATTICE SEMICONDUCTOR CORPCOM$30.8M201,432518415104
SYNCHRONY FINANCIALCOM$30.7M403,23687165B103
EVERPURE INCCL A$30.5M387,71074624M102
DEVON ENERGY CORP NEWCOM$29.7M718,86525179M103
US FOODS HLDG CORPCOM$29.4M287,923912008109
WARBY PARKER INCCL A COM$29.4M969,03593403J106
COGNIZANT TECHNOLOGY SOLUTIOCL A$28.9M745,880192446102
PHILLIPS 66COM$27.3M161,747718546104
FRONTLINE PLCCOM$26M748,572M46528101
WOLFSPEED INCCOMMON STOCK$25.6M529,80197785W106
META PLATFORMS INCCL A$25.2M44,75530303M102
HILTON WORLDWIDE HLDGS INCCOM$25.1M75,99843300A203
CAPITAL ONE FINL CORPCOM$25M124,60614040H105
ROYAL CARIBBEAN GROUPCOM$24.7M77,647V7780T103
CLOUDFLARE INCCL A COM$24.3M98,88218915M107
INDIE SEMICONDUCTOR INCCLASS A COM$24M5,341,24645569U101
ATLASSIAN CORPORATIONCL A$23.5M301,653049468101
HF SINCLAIR CORPCOM$22.9M329,078403949100
CONSTRUCTION PARTNERS INCCOM CL A$22.7M190,85921044C107
AVNET INCCOM$22.7M255,064053807103
IQVIA HLDGS INCCOM$22.4M115,99346266C105
JPMORGAN CHASE & COCOM$21.4M65,46446625H100
BARRICK MNG CORPCOM SHS$20.7M563,42206849F108
THERMO FISHER SCIENTIFIC INCCOM$20.7M41,270883556102
NUTRIEN LTDCOM$20.6M327,21167077M108
FEDEX CORPCOM$20M63,84931428X106
MEDPACE HLDGS INCCOM$20M37,67358506Q109
COCA COLA COCOM$19.9M244,464191216100
MORGAN STANLEYCOM NEW$19.5M93,180617446448
TOTALENERGIES SEACT$19.4M250,000F92124100
STAR BULK CARRIERS CORP.SHS PAR$19M761,688Y8162K204
BROADCOM INCCOM$18.9M50,03211135F101
SMURFIT WESTROCK PLCSHS$18.1M392,259G8267P108
ERO COPPER CORPCOM$17.8M665,638296006109
FORD MTR COCOM$16.7M1,201,044345370860
REPLIGEN CORPCOM$16.6M121,727759916109
JOHNSON & JOHNSONCOM$16.6M65,168478160104
ALTRIA GROUP INCCOM$16.5M228,92402209S103
GILDAN ACTIVEWEAR INCCOM$15.4M297,863375916103
STATE STR CORPCOM$15.2M89,637857477103
COPA HOLDINGS SACL A$15.1M96,770P31076105
CMS ENERGY CORPCOM$14.1M184,594125896100
SES AI CORPORATIONCL A COM$13.7M133,28278397Q109
AMERICAN INTL GROUP INCCOM NEW$13M174,020026874784
CENCORA INCCOM$12.4M43,84603073E105
API GROUP CORPCOM STK$12.3M290,44700187Y100
ROBINHOOD MKTS INCCOM CL A$12M120,043770700102
PRIMERICA INCCOM$11.4M40,25274164M108
D R HORTON INCCOM$11.3M69,52423331A109
AON PLCSHS CL A$10.6M31,855G0403H108
STEEL DYNAMICS INCCOM$10.3M44,692858119100
CRH PLCORD$9.6M90,046G25508105
LIVE NATION ENTERTAINMENT INCOM$9.4M51,281538034109
AKAMAI TECHNOLOGIES INCCOM$9.3M78,95900971T101
VENTURE GLOBAL INCCOM CL A$9.3M836,20692333F101
HALOZYME THERAPEUTICS INCCOM$8.5M108,28440637H109
MICROSOFT CORPCOM$8.1M21,647594918104
WELLS FARGO & COCOM$7.9M95,489949746101
ANGLOGOLD ASHANTI PLCCOM SHS$7.8M96,644G0378L100
WESTERN DIGITAL CORPCOM$6.9M10,874958102105
DELUXE CORP MEDIUM TERM NTSCOM$6.5M271,226248019101
CHENIERE ENERGY INCCOM NEW$5.9M24,88016411R208
POST HLDGS INCCOM$5.2M59,410737446104
ARISTA NETWORKS INCCOM SHS$5.1M29,938040413205
POPULAR INCCOM NEW$3.9M23,689733174700
TD SYNNEX CORPORATIONCOM$3.8M14,18587162W100
MCKESSON CORPCOM$3.7M4,85158155Q103
GEN DIGITAL INCCOM$3.6M143,047668771108
PAR PAC HOLDINGS INCCOM NEW$3.5M62,34969888T207
ORIX CORPSPONSORED ADR$3.3M85,561686330101
VIRTU FINL INCCL A$3.3M54,623928254101
PROG HOLDINGS INCCOM NPV$3.2M69,43474319R101
CROCS INCCOM$3.2M26,783227046109
AMNEAL PHARMACEUTICALS INCCOM STK CL A$3.2M186,12503168L105
CVS HEALTH CORPCOM$3.2M30,481126650100
GULFPORT ENERGY CORPCOMMON SHARES$2.9M17,256402635502
AAR CORPCOM$2.9M20,306000361105
ENOVA INTL INCCOM$2.9M12,05329357K103
CF INDUSTRIES HOLDCOM$2.8M26,092125269100
COLLEGIUM PHARMACEUTICAL INCCOM$2.5M68,57319459J104
HCA HEALTHCARE INCCOM$2.4M6,27540412C101
ANI PHARMACEUTICALS INCCOM$2.3M28,17600182C103
SUPER GROUP SGHC LIMITEDORD SHS$2.3M171,408G8588X103
DORIAN LPG LTDSHS USD$2.3M65,272Y2106R110
MILLICOM INTL CELLULAR S ACOM STK$2.3M24,919L6388F110
KENNAMETAL INCCOM$2.2M62,386489170100
UNITED BANKSHARES INC WEST VCOM$2.1M46,842909907107
ELDORADO GOLD CORP NEWCOM$2.1M66,545284902509
RENASANT CORPCOM$2M46,95575970E107
DHT HOLDINGS INCSHS NEW$1.9M116,470Y2065G121
V2X INCCOM$1.8M24,48492242T101
MACYS INCCOM$1.7M72,46955616P104
RIO TINTO PLCSPONSORED ADR$1.7M17,760767204100
BANCO BRADESCO S ASP ADR PFD NEW$1.7M481,872059460303
WEX INCCOM$1.5M10,90896208T104
UMB FINL CORPCOM$1.5M10,636902788108
CELANESE CORP DELCOM$1.4M30,766150870103
GIGACLOUD TECHNOLOGY INCCLASS A ORD$1.3M42,678G38644103
Values are shown exactly as filed. Before 2023 managers reported in thousands of dollars and afterwards in whole dollars; the reporting unit is not always determinable from the document, so nothing is converted automatically.

Source: U.S. Securities and Exchange Commission, Form 13F · as of 2026-07-23