Universe · entity

Asset Management One Co., Ltd.

Institutional manager (13F) · CIK 1068855
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $19.5B
#IssuerValueShares
1ISHARES TR$2.1B3,225,810
2NVIDIA CORPORATION$1.9B11,091,776
3APPLE INC$1.7B6,575,253
4MICROSOFT CORP$1.2B3,357,509
5AMAZON COM INC$957M4,593,969
6ALPHABET INC$796M2,767,516
7BROADCOM INC$671M2,166,535
8ALPHABET INC$649M2,262,250
9META PLATFORMS INC$613M1,071,885
10VANGUARD INTL EQUITY INDEX F$521M6,318,305
11ISHARES INC$501M7,184,416
12TESLA INC$480M1,290,586
13JPMORGAN CHASE & CO$392M1,331,794
14ELI LILLY & CO$342M372,209
15EXXON MOBIL CORP$331M1,950,672
16JOHNSON & JOHNSON$305M1,249,154
17BERKSHIRE HATHAWAY INC DEL$284M592,393
18VISA INC$275M910,219
19WALMART INC$273M2,195,319
20WELLTOWER INC$257M1,299,958
21PROLOGIS INC.$238M1,799,705
22CATERPILLAR INC$226M319,517
23COSTCO WHOLESALE CORPORATION$225M226,244
24GOLDMAN SACHS GROUP INC$208M246,250
25MASTERCARD INCORPORATED$202M404,082
26CHEVRON CORPORATION$197M949,989
27ABBVIE INC$191M880,026
28NETFLIX INC.$189M1,963,293
29EQUINIX INC$183M187,194
30HOME DEPOT INC$180M546,305
31MERCK & CO INC$173M1,441,306
32MICRON TECHNOLOGY INC$171M506,903
33COCA COLA CO$166M2,184,279
34PROCTER & GAMBLE CO$166M1,149,469
35CISCO SYS INC$161M2,080,156
36BANK AMERICA CORP$161M3,297,664
37PHILIP MORRIS INTL INC$150M904,808
38ADVANCED MICRO DEVICES INC$149M734,439
39LAM RESEARCH CORP$143M668,713
40ISHARES TR$142M2,767,024
41PALANTIR TECHNOLOGIES INC$141M966,942
42GE AEROSPACE$138M486,053
43WORLD GOLD TR$138M1,486,595
44UNITEDHEALTH GROUP INC$134M494,649
45MCDONALDS CORP$131M420,673
46INTERNATIONAL BUSINESS MACHS$131M538,958
47AMGEN INC$121M342,749
48GE VERNOVA INC$120M137,140
49APPLIED MATLS INC$116M339,841
50RTX CORPORATION$115M596,558
All filings on EDGAR ↗

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