Universe · entity

Nippon Life Global Investors Americas, Inc.

Institutional manager (13F) · CIK 1040190
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $2.1B
#IssuerValueShares
1NVIDIA CORPORATION$196M1,125,710
2ALPHABET INC$138M481,440
3MICROSOFT CORP$128M345,260
4APPLE INC$115M452,330
5AMAZON COM INC$109M521,460
6BROADCOM INC$92M298,460
7META PLATFORMS INC$74M128,920
8ELI LILLY & CO$70M75,810
9COSTCO WHOLESALE CORPORATION$62M62,130
10LAM RESEARCH CORP$60M281,580
11CITIGROUP INC$58M515,810
12GE AEROSPACE$49M171,750
13AMPHENOL CORP$45M351,770
14GOLDMAN SACHS GROUP INC$43M50,520
15MEDTRONIC PLC$43M486,990
16PROCTER & GAMBLE CO$42M292,580
17AON PLC$42M130,660
18CATERPILLAR INC$40M56,600
19VISA INC$37M123,680
20BOEING CO$37M185,300
21GE HEALTHCARE TECHNOLOGIES I$34M472,890
22MARATHON PETE CORP$34M137,820
23BANK AMERICA CORP$32M661,590
24LINDE PLC$32M63,830
25CHEVRON CORPORATION$29M142,190
26SNOWFLAKE INC$27M180,500
27CVS HEALTH CORP$27M370,230
28TESLA INC$25M67,770
29CONSTELLATION ENERGY CORP$25M90,010
30OREILLY AUTOMOTIVE INC$21M231,220
31SHOPIFY INC$21M177,070
32ULTA BEAUTY INC$20M37,970
33INTERCONTINENTAL EXCHANGE IN$20M124,730
34SEMPRA$18M188,630
35AERCAP HOLDINGS NV$17M127,480
36NETFLIX INC.$17M177,720
37EQUINIX INC$15M14,990
38CBRE GROUP INC$14M104,890
39MODINE MFG CO$14M64,260
40IQVIA HLDGS INC$13M78,960
41REPUBLIC SVCS INC$13M60,080
42JPMORGAN CHASE & CO$12M42,460
43AMERICAN EXPRESS CO$12M39,680
44S&P GLOBAL INC$12M27,820
45IRON MTN INC DEL$12M112,860
46ABBVIE INC$11M52,350
47TAPESTRY INC$11M77,980
48MARRIOTT INTL INC NEW$11M33,300
49AUTOZONE INC$10M3,020
50RYDER SYS INC$10M49,030
All filings on EDGAR ↗

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