About TfL Pension Fund

Accounts

Money in and out

The table below shows the money coming into and going out of the Fund during the year.

Money in 2023/24
Total income£596.8m
Employers' contribution£328.2m
Investment income£187.5m
Members' contribution£79.8m
Transfers in from other schemes£1.3m
 
 
Change in value of investments£793.3m
Money out 2023/24
Total outgoings£554.1m
Pensions and other benefits paid£506.9m
Investment management£23.5m
Other payments£6.0m
Administration£5.0m
Payments in respect of leavers£1.0m
Pension levies£11.7m

Administration expenses

ItemCost
Staff costs£2.8m
Fund office running costs£0.7m
Professional fees£1.2m
Communications and consumables£0.3m

How we invested

The Fund is held in a range of different investments (assets) in the UK and overseas. The following tables show how the Fund was invested on 31 March 2024.

Who manages the Fund
BlackRock (Index tracking and liability matching assets) 23.0%
Active Specialist
Goldman Sachs (Global bonds) 4.9%
Pzena (Global equities) 4.2%
JO Hambro (Global equities)3.7%
Veritas (Global equities) 3.4%
Oak Hill (Alternative credit) 2.9%
Nomura (Pacific Basin equities) 1.6%
Paradice (Global Small Cap equities) 1.6%
JP Morgan (Emerging Market debt) 1.4%
Coronation (Global Emerging Market equities)1.0%
Russell (Global Emerging Market equities) 1.0%
JO Hambro (Asia (ex Japan) equities) 0.7%
Wellington (Alternative credit) 0.7%
Russell (Currency overlay) 0.2%
Alternative Assets
Neuberger Berman (Global equity Fund of Funds) 6.5%
Cash5.7%
Bridgewater (Global Macro Systematic Hedge Fund) 4.5%
Cambridge Associates (Hedge Fund) 4.1%
Stonepeak (Infrastructure Private Equity Fund) 3.6%
CBRE (Real Estate (Fund of Funds exposure)) 3.2%
Brevan Howard (Global Macro Discretionary Hedge Fund) 2.3%
Siguler Guff (Distressed Debt Private equity) 2.2%
Harrison Street (Social Infrastructure Fund) 2.1%
Semperian (Infrastructure assets) 2.0%
Credit Suisse (Reinsurance Hedge Fund) 1.6%
SCM ManCo 1 Limited (Infrastructure assets) 1.4%
BlackRock (Real Estate) 1.3%
Industry Funds (Infrastructure debt) 1.3%
Goldman Sachs (Beta Trend Hedge Fund)1.2%
Man (Alternative Risk Premium Hedge Fund) 1.2%
Man (Multi Strategy Hedge Fund) 1.1%
BlackRock (Commodities) 0.7%
GS Mezzanine (Private Mezzanine debt) 0.7%
BlackRock (UK Renewables Private equity) 0.6%
Brevan Howard (Macro Opportunities Drawdown Fund) 0.6%
Equilibrium (Agriculture Capital Fund)0.4%
Augment Brazil (Infrastructure Emerging Market Fund) 0.3%
Goldman Sachs (Private equity) 0.3%
Partners Group (Private Equity Fund of Funds) 0.3%
Anchorage (Multi-Strategy Credit Hedge Fund) 0.2%
Colonial First State (Infrastructure Private Equity Fund) 0.2%
IFC (Emerging Market Infrastructure Fund) 0.1%
Goldman Sachs (Alternative credit)0.0%

The table above shows the actual allocations of the Fund's assets between investment managers as at 31 March 2024.


The Fund's Assets
Overseas equities32.6%
Liquid alternatives16.7%
Infrastructure9.6%
Private equities7.5%
Liability Hedging7.0%
Cash & other assets5.9%
Alternative credit5.1%
Global bonds5.0%
Real estate4.5%
Private credit4.3%
Commodities0.7%
Renewables0.6%
UK equities0.5%

Top 25 Shares

The Fund has significant direct holdings in the shares (equities) of a number of major quoted companies. The twenty five largest direct holdings as at 31 March 2024 are shown in the table below:

CompanySectorValue
ALPHABET INCCommunication Services£47.2m
AMAZON.COM INCInformation Technology£45.4m
MICROSOFT CORPInformation Technology£34.8m
INTERCONTINENTAL EXCHANGE INCFinancials£33.5m
TAIWAN SEMICONDUCTOR MANUFACTURING CO LTDInformation Technology£30.3m
ELEVANCE HEALTH INCHealth Care£28.6m
CANADIAN PACIFIC KANSAS CITY LTD Industrials£27.0m
CHARTER COMMUNICATIONS INCCommunication Services£26.7m
AIRBUS SEIndustrials£26.3m
UNILEVER PLCConsumer Staples£25.0m
DIAGEO PLCConsumer Staples£23.2m
FISERV INCInformation Technology£23.1m
SK HYNIX INCInformation Technology£22.9m
VINCI SA Industrials£22.9m
THERMO FISHER SCIENTIFIC INCHealth Care£21.3m
LEAR CORPConsumer Discretionary£21.2m
AENA SME SAIndustrials£20.9m
DAIMLER TRUCK HOLDING AGConsumer Discretionary£20.5m
MASTERCARD INCFinancials£20.1m
COGNIZANT TECHNOLOGY SOLUTIONS CORPInformation Technology£19.8m
UNITED HEALTH GROUP INCHealth Care£19.7m
BANK MANDIRI PERSERO TBK PTFinancials£19.2m
SAFRAN SAIndustrials£19.2m
NU HOLDINGS LTDFinancials£17.8m
SHELL PLCEnergy£17.2m
Total £633.8m