BA

Bell Asset Management Ltd

Diversified strategyMomentum followerQuality / disciplined sizing

Total reported value

$339.8M

Reporting period: 2026-03-31 · Number of holdings: 61

Bell Asset Management Ltd disclosed 61 holdings in its latest 13F filing for the period ending 2026-03-31, with total reported value of $339.8M and a quarterly turnover rate of 35.4%.

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Personality snowflake

Concentration
13.15
Portfolio Stability
35.45
Momentum/Contrarian
100
Sector conviction
83.4
Diversification
100
Sizing Uniformity
89.89

Recent moves

  • Trim META

    -43.2% -$4.8M

  • Add NVDA

    +12.0% $1.1M

  • Add AAPL

    +12.7% $924.4K

  • Add AVGO

    +23.2% $1.1M

  • Trim MSI

    -49.7% -$2.7M

  • Trim PG

    -42.4% -$2.5M

Holdings Map

New buyAddUnchangedTrim

Top 10 holdings by weight

Full holdings list this quarter

#TickerIssuerAsset SubclassWeightWeight ChangeShares Change4Q Trend
1NVDANvidia CORPStock-Tech9.44%+1.17%+11.98%
2MSFTMicrosoft CORPStock-Tech6.85%+0.05%+19.72%
3GOOGLAlphabet Inc-cl AStock-Comm Services6.44%-0.38%-6.11%
4AAPLApple INCStock-Tech5.88%+0.79%+12.74%
5AMZNAmazon.com INCStock-Consumer Disc4.83%-0.32%-5.32%
6AVGOBroadcom INCStock-Tech3.71%+0.64%+23.16%
7JPMJpmorgan Chase & CoStock-Financials2.56%+13.44%
8VVisa Inc-class A SharesStock-Financials2.29%-0.04%+4.49%
9TMOThermo Fisher Scientific INCStock-Healthcare1.78%+0.42%+40.90%
10MAMastercard INC - AStock-Financials1.78%+6.62%
11AONAon plcStock-Financials1.69%+11.67%
12MRSHMarsh & Mclennan CosStock-Financials1.53%-0.08%-7.55%
13WMWaste Management INCStock-Industrials1.47%-0.12%-19.17%
14SPGIS&p Global INCStock-Financials1.47%-0.01%+11.30%
15NFLXNetflix INCStock-Comm Services1.41%+0.54%+45.37%
16UBERUber Technologies INCStock-Industrials1.40%+8.97%
17VEEVVeeva Systems Inc-class AStock-Healthcare1.39%+0.28%+45.99%
18METAMeta Platforms Inc-class AStock-Comm Services1.36%-1.17%-43.23%
19UNHUnitedhealth Group INCStock-Healthcare1.29%-0.17%-2.12%
20CDNSCadence Design Sys INCStock-Tech1.28%+1.28%NEW
21ABTAbbott LaboratoriesStock-Healthcare1.25%+1.25%NEW
22ACNAccenture plcStock-Tech1.24%-0.51%-12.32%
23TSCOTractor Supply CompanyStock-Consumer Disc1.23%+16.45%
24SCIService CORP InternationalStock-Consumer Disc1.23%-9.15%
25LPLALpl Financial Holdings INCStock-Financials1.21%+32.78%
26TELTE Connectivity plcStock-Tech1.21%+1.21%NEW
27ZTSZoetis INCStock-Healthcare1.19%-2.17%
28ORCLOracle CORPStock-Tech1.18%-0.38%-8.26%
29MANHManhattan Associates INCStock-Tech1.15%+32.33%
30DKSDick's Sporting Goods INCStock-Consumer Disc1.15%+1.15%NEW
31AAgilent Technologies INCStock-Healthcare1.13%+1.13%NEW
32ABBVAbbvie INCStock-Healthcare1.10%+1.10%NEW
33CNMCore & Main Inc-class AStock-Industrials1.08%-2.18%
34HLIHoulihan Lokey INCStock-Financials1.07%+10.36%
35NOWServicenow INCStock-Tech1.07%+1.07%NEW
36BKNGBooking Holdings INCStock-Consumer Disc1.05%+13.45%
37PCTYPaylocity Holding CORPStock-Tech1.04%-0.47%-11.23%
38MSIMotorola Solutions INCStock-Tech1.03%-0.62%-49.69%
39TSMTaiwan Semiconductor-sp AdrStock-Tech1.02%-11.06%
40ADSKAutodesk INCStock-Tech1.02%+1.02%NEW
41BOOTBoot Barn Holdings INCStock-Consumer Disc1.00%+29.66%
42PGProcter & Gamble Co/theStock-Consumer Staples1.00%-0.57%-42.43%
43BJBj's Wholesale Club HoldingsStock-Consumer Staples0.99%-0.26%-33.25%
44BRBroadridge Financial SolutioStock-Tech0.99%-0.08%+16.74%
45KEYSKeysight Technologies InStock-Tech0.99%-0.17%-44.08%
46GWWWw Grainger INCStock-Industrials0.98%-0.09%-22.62%
47CORCencora INCStock-Healthcare0.97%+3.88%
48POOLPool CORPStock-Industrials0.97%-2.15%
49CDWCdw Corp/deStock-Tech0.95%+0.95%NEW
50DXCMDexcom INCStock-Healthcare0.92%-0.19%-20.17%
150 of 61

Holding changes this quarter

Bell Asset Management Ltd's most significant position changes for 2026-03-31: Sold out: Home Depot INC (HD); Sold out: Fortune Brands Innovations I (FBIN); Sold out: Nike INC -cl B (NKE); Sold out: Synopsys INC (SNPS); New buy: Cadence Design Sys INC (CDNS).

Position changes disclosed by Bell Asset Management Ltd for the quarter ending 2026-03-31, including ticker, issuer, weight change, shares change, and action
#TickerIssuerWeight ChangeShares ChangeAction
1NVDANvidia CORP+1.2%+11.98%Add
2AAPLApple INC+0.8%+12.74%Add
3AVGOBroadcom INC+0.6%+23.16%Add
4NFLXNetflix INC+0.5%+45.37%Add
5TMOThermo Fisher Scientific INC+0.4%+40.90%Add
6VEEVVeeva Systems Inc-class A+0.3%+45.99%Add
7MSFTMicrosoft CORP+0.1%+19.72%Add
8SPGIS&p Global INC0%+11.30%Add
9VVisa Inc-class A Shares0%+4.49%Add
10MRSHMarsh & Mclennan Cos-0.1%-7.55%Trim
11BRBroadridge Financial Solutio-0.1%+16.74%Add
12GWWWw Grainger INC-0.1%-22.62%Trim
13CPRTCopart INC-0.1%-2.09%Trim
14WMWaste Management INC-0.1%-19.17%Trim
15LLYEli Lilly & Co-0.1%-10.38%Trim
16UNHUnitedhealth Group INC-0.2%-2.12%Trim
17KEYSKeysight Technologies In-0.2%-44.08%Trim
18DXCMDexcom INC-0.2%-20.17%Trim
19MCDMcdonald's CORP-0.2%-33.41%Trim
20BJBj's Wholesale Club Holdings-0.3%-33.25%Trim
21WMSAdvanced Drainage Systems In-0.3%-35.42%Trim
22AMZNAmazon.com INC-0.3%-5.32%Trim
23MSCIMsci INC-0.3%-29.32%Trim
24GOOGLAlphabet Inc-cl A-0.4%-6.11%Trim
25ORCLOracle CORP-0.4%-8.26%Trim
26PCTYPaylocity Holding CORP-0.5%-11.23%Trim
27ACNAccenture plc-0.5%-12.32%Trim
28PGProcter & Gamble Co/the-0.6%-42.43%Trim
29MSIMotorola Solutions INC-0.6%-49.69%Trim
30METAMeta Platforms Inc-class A-1.2%-43.23%Trim
31HDHome Depot INCEXITSold out
32FBINFortune Brands Innovations IEXITSold out
33NKENike INC -cl BEXITSold out
34SNPSSynopsys INCEXITSold out
35CDNSCadence Design Sys INCNEWNew buy
36ODFLOld Dominion Freight LineEXITSold out
37ABTAbbott LaboratoriesNEWNew buy
38TELTE Connectivity plcNEWNew buy
39DKSDick's Sporting Goods INCNEWNew buy
40CLHClean Harbors INCEXITSold out
41AAgilent Technologies INCNEWNew buy
42TERTeradyne INCEXITSold out
43ABBVAbbvie INCNEWNew buy
44NOWServicenow INCNEWNew buy
45SFMSprouts Farmers Market INCEXITSold out
46ADSKAutodesk INCNEWNew buy
47CDWCdw Corp/deNEWNew buy
48TTCToro CoEXITSold out
49MELIMercadolibre INCNEWNew buy
50AXPAmerican Express CoNEWNew buy

FAQ

What is Bell Asset Management Ltd and what type of investor is it?
Bell Asset Management Ltd is a investment manager that files SEC Form 13F quarterly, disclosing its U.S. public equity holdings to regulators. As of the most recent reporting period (2026-03-31), the firm manages a tracked equity portfolio valued at approximately $339.8M, spread across 61 disclosed positions.
What are Bell Asset Management Ltd's largest equity positions?
Based on the latest 13F filing, Bell Asset Management Ltd's top holdings by market value are: 1. Nvidia CORP (NVDA) — $32.1M (9.4%) 2. Microsoft CORP (MSFT) — $23.3M (6.8%) 3. Alphabet Inc-cl A (GOOGL) — $21.9M (6.4%) 4. Apple INC (AAPL) — $20.0M (5.9%) 5. Amazon.com INC (AMZN) — $16.4M (4.8%)
What changes did Bell Asset Management Ltd make in its most recent portfolio filing?
In the latest reported quarter, Bell Asset Management Ltd made 50 notable position adjustments: 11 new positions were initiated, 10 existing holdings were added to, 20 positions were partially reduced, and 9 were completely exited. The largest of these moves: Sold out: Home Depot INC (HD); Sold out: Fortune Brands Innovations I (FBIN); Sold out: Nike INC -cl B (NKE); Sold out: Synopsys INC (SNPS); New buy: Cadence Design Sys INC (CDNS)
What sectors does Bell Asset Management Ltd focus on?
Bell Asset Management Ltd is concentrated in the following sectors based on its current disclosed equity portfolio: • Information Technology: 46.5% • Financials: 13.8% • Communication Services: 13.8% • Consumer Discretionary: 10.8% • Health Care: 10.6% • Consumer Staples: 2.4%