Universe · entity

SECURIAN ASSET MANAGEMENT, INC

Institutional manager (13F) · CIK 1035350
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $1.6B
#IssuerValueShares
1VANGUARD INDEX FDS$144M240,471
2ISHARES TR$130M199,170
3NVIDIA CORPORATION$115M659,220
4APPLE INC$101M398,276
5ISHARES TR$97M713,802
6ISHARES TR$78M837,287
7MICROSOFT CORP$75M201,446
8ISHARES TR$64M702,769
9AMAZON COM INC$55M265,011
10INVESCO EXCH TRADED FD TR II$50M690,000
11SCHWAB STRATEGIC TR$49M1,581,000
12ALPHABET INC$45M157,942
13BROADCOM INC$40M128,623
14ALPHABET INC$36M126,871
15META PLATFORMS INC$34M59,335
16TESLA INC$28M76,297
17BERKSHIRE HATHAWAY INC DEL$24M49,747
18ISHARES TR$23M439,717
19JPMORGAN CHASE & CO.$22M73,144
20SPDR S&P 500 ETF TR$21M33,000
21ISHARES TR$21M500,000
22ELI LILLY & CO$20M21,494
23ISHARES TR$20M236,229
24EXXON MOBIL CORP$19M113,369
25JOHNSON & JOHNSON$16M65,377
26WALMART INC$15M118,919
27ISHARES U S ETF TR$14M283,620
28ISHARES INC$14M215,206
29VISA INC$14M45,605
30COSTCO WHSL CORP NEW$12M12,051
31MASTERCARD INCORPORATED$11M22,094
32NETFLIX INC$11M114,540
33ISHARES INC$11M265,791
34CHEVRON CORP NEW$11M50,853
35ABBVIE INC$10M47,946
36MICRON TECHNOLOGY INC$10M30,522
37PROCTER AND GAMBLE CO$9M63,046
38PALANTIR TECHNOLOGIES INC$9M61,970
39ADVANCED MICRO DEVICES INC$9M44,269
40CATERPILLAR INC$9M12,623
41HOME DEPOT INC$9M27,066
42BANK AMERICA CORP$9M180,009
43ISHARES TR$9M174,026
44ISHARES INC$9M250,000
45CISCO SYS INC$8M107,156
46SPDR INDEX SHS FDS$8M177,060
47MERCK & CO INC$8M67,333
48GE AEROSPACE$8M28,453
49COCA COLA CO$8M105,026
50APPLIED MATLS INC$7M21,533
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.