Universe · entity

NOMURA ASSET MANAGEMENT CO LTD

Institutional manager (13F) · CIK 1055964
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $21.3B
#IssuerValueShares
1NVIDIA CORPORATION$3.5B19,899,039
2APPLE INC$1.8B7,079,341
3BROADCOM INC$1.8B5,768,466
4MICROSOFT CORP$1.5B3,998,974
5AMAZON COM INC$981M4,710,729
6ALPHABET INC$945M3,288,005
7ALPHABET INC$728M2,537,734
8META PLATFORMS INC$598M1,044,424
9TESLA INC$456M1,226,248
10APPLIED MATLS INC$409M1,197,178
11EXXON MOBIL CORP$370M2,180,052
12JPMORGAN CHASE & CO$361M1,227,887
13ELI LILLY & CO$350M380,578
14MASTERCARD INCORPORATED$342M685,222
15MICRON TECHNOLOGY INC$340M1,006,950
16JOHNSON & JOHNSON$310M1,269,274
17KLA CORP$300M203,799
18WALMART INC$299M2,409,073
19NETFLIX INC.$291M3,026,110
20CISCO SYS INC$285M3,668,884
21WELLTOWER INC$270M1,366,105
22CATERPILLAR INC$257M362,810
23COSTCO WHOLESALE CORPORATION$247M247,715
24BERKSHIRE HATHAWAY INC DEL$242M505,095
25VISA INC$238M786,610
26PROLOGIS INC.$234M1,768,160
27ABBVIE INC$223M1,024,824
28PROGRESSIVE CORP$221M1,115,765
29CHEVRON CORPORATION$219M1,060,784
30MERCK & CO INC$190M1,579,855
31EQUINIX INC$187M190,765
32PROCTER & GAMBLE CO$184M1,271,631
33PEPSICO INC$179M1,155,482
34COCA COLA CO$170M2,236,991
35NEXTERA ENERGY INC$169M1,814,182
36HOME DEPOT INC$168M510,442
37MONOLITHIC PWR SYS INC$161M146,876
38LINDE PLC$160M322,689
39THERMO FISHER SCIENTIFIC INC$157M319,972
40PHILIP MORRIS INTL INC$148M893,332
41REALTY INCOME CORP$147M2,396,658
42MCDONALDS CORP$145M465,475
43INTUITIVE SURGICAL INC$144M311,689
44OREILLY AUTOMOTIVE INC$141M1,527,846
45ADVANCED MICRO DEVICES INC$140M686,700
46PALANTIR TECHNOLOGIES INC$138M946,745
47WESTERN DIGITAL CORP$138M509,267
48HONEYWELL INTL INC$136M600,057
49UNITEDHEALTH GROUP INC$133M493,005
50LAM RESEARCH CORP$127M595,945
All filings on EDGAR ↗

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