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Indivior PLC

Indivior is a specialty pharmaceutical business. The company's main product is Suboxone an addiction-control product. Other products include remedies for opioid addiction,  cocaine and opioid analgesic overdose and treatment for alcohol dependence: the company claims this to be the largest pipeline of addiction drugs in the world. Voted into our portfolio in 2014.

Portfolio Allocation: 0.19%

Portfolio Region: UK

Rolls Royce Holdings

Rolls-Royce Holdings plc is a British multinational public holding company that, through its various subsidiaries, designs, manufactures and distributes power systems for aviation and other industries. Voted into the portfolio in 2012.

Portfolio Allocation: 3.18%

Portfolio Region: UK

Exxon Mobile Corp

Exxon Mobil Corp. is an American multinational oil and gas corporation headquartered in Irving, Texas. Voted into the portfolio in 2012.

Portfolio Allocation: 3.23%

Portfolio Region: US

Wal- Mart Stores

Wal-Mart Stores, Inc, is an American multinational retail corporation that operates a chain of discount department stores and warehouse stores.

Portfolio Allocation: 3.45%

Portfolio Region: US

MTN Group Ltd

MTN Group, formerly M-Cell, is a South Africa-based multinational mobile telecommunications company, operating in many African, European and Middle Eastern countries. Its head office is in Johannesburg. Voted into our portfolio in 2015.

Portfolio Allocation: 4.46%

Portfolio Region: MEA


Reckitt Benckiser GRP

Reckitt Benckiser Group plc is a multinational consumer goods company headquartered in Slough, Berkshire, England. It is a producer of health, hygiene and home products. Voted into our portfolio in 2013.

Portfolio Allocation: 4.87%

Portfolio Region: UK


Unilever PLC

Unilever is a British-Dutch multinational consumer goods company co-headquartered in Rotterdam, Netherlands, and London, United Kingdom. Its products include food, beverages, cleaning agents and personal care products. Unilever was voted into our portfolio in 2014.

Portfolio Allocation: 5.75%

Portfolio Region: UK


Becton Dickinson Com

Becton, Dickinson and Company is an American medical technology company that manufactures and sells medical devices, instrument systems and reagents. Becton was voted into our portfolio in 2013.

GICS Industry Group: Medical Equipment

Portfolio Allocation: 5.76%

Portfolio Region: US

Caterpillar Inc

Caterpillar Inc., is an American corporation which designs, manufactures, markets and sells machinery, engines, financial products and insurance to customers via a worldwide dealer network. Added to the portfolio in 2013.

GICS Industry Group: Capital Goods

Portfolio Allocation: 2.79%

Portfolio Region: US

Toyota Motor Corp

Toyota Motor Corporation is a Japanese automotive manufacturer headquartered in Toyota, Aichi, Japan. Having been added to our portfolio in 2014.

GICS Industry Group: Automobile

Portfolio Allocation: 3.85%

Portfolio Region: Asia

Millicom International Cellular

Millicom is an international telecommunications and media company. It offers a range of digital services to over 56 million customers primarily under the Tigo brand in fourteen markets in Africa and Latin America. It was voted into the portfolio in 2012.

GICS Industry Group: Telecommunication Services

Portfolio Allocation: 2.61%

Portfolio Region: CE

Coca-Cola Co

Coca-Cola is an American multinational beverage corporation and manufacturer, retailer, and marketer of nonalcoholic beverage concentrates and syrups, which is headquartered in Atlanta, and Georgia. And was voted into the portfolio in 2012.

GICS Industry Group: Food Beverage

Portfolio Allocation: 4.29%

Portfolio Region: US

Novo Nordisk

Novo Nordisk is a Danish multinational pharmaceutical company headquartered in Bagsværd, Denmark, with production facilities in seven countries, and affiliates or offices in 75 countries. Novo was added to our portfolio in 2015.

GICS Industry Group: Health Care

Portfolio Allocation: 9.93%

Portfolio Region: CE

Stada Arzneimittel

Stada Arzneimittel AG is a pharmaceutical company based in Bad Vilbel, Germany which specializes in the production of generic and over-the-counter drugs. In 2014, revenue totaled €2.06 billion. Stada was voted into our portfolio in 2015.

GICS Industry Group: Health Care

Portfolio Allocation: 4.97%

Portfolio Region: CE

Mcdonald's Corp

McDonald's is the world's largest chain of hamburger fast food restaurants, serving around 68 million customers daily in 119 countries across 35,000 outlets. Having been voted into our portfolio in 2012.

GICS Industry Group: Consumer Services

Portfolio Allocation: 4.24%

Portfolio Region: US

Walt Disney Company

The Walt Disney Company, commonly known as Disney, is an American diversified multinational mass media and entertainment conglomerate headquartered at the Walt Disney Studios in Burbank, California. Having been voted into the portfolio in 2015.

GICS Industry Group: Media

Portfolio Allocation: 7.67%

Portfolio Region: US

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