Universe · entity

Bank Pictet & Cie (Europe) AG

Institutional manager (13F) · CIK 1123274
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $4.1B
#IssuerValueShares
1NVIDIA CORPORATION$383M2,194,516
2AMAZON COM INC$359M1,723,929
3ALPHABET INC$351M1,222,048
4MICROSOFT CORP$318M862,862
5VISA INC$187M618,063
6APPLE INC$132M520,161
7COSTCO WHOLESALE CORPORATION$117M117,254
8TOTALENERGIES SE$116M1,240,847
9META PLATFORMS INC$114M198,692
10BROADCOM INC$99M318,474
11TAIWAN SEMICONDUCTOR MANUFAC$97M287,645
12LINDE PLC$90M181,722
13SLB LIMITED$89M1,726,783
14ABBVIE INC$88M404,104
15CINTAS CORP$87M514,586
16INTUITIVE SURGICAL INC$87M188,756
17ALPHABET INC$84M291,184
18DANAHER CORP DEL$68M361,046
19RANGE RES CORP$64M1,427,357
20BERKSHIRE HATHAWAY INC DEL$64M89
21JPMORGAN CHASE & CO$60M202,427
22EATON CORP PLC$59M166,101
23UNITEDHEALTH GROUP INC$54M200,181
24WELLS FARGO & CO$53M661,427
25OREILLY AUTOMOTIVE INC$53M568,992
26PHILIP MORRIS INTL INC$52M315,469
27IDEXX LABS INC$50M89,000
28STRYKER CORPORATION$48M146,244
29ELI LILLY & CO$47M51,640
30MCDONALDS CORP$45M144,039
31ZOETIS INC$42M358,560
32NOVAGOLD RESOURCES INC$42M4,676,000
33SALESFORCE INC$41M220,504
34BOSTON SCIENTIFIC CORP$40M641,234
35ADVANCED MICRO DEVICES INC$39M191,165
36MARSH & MCLENNAN COS INC$35M202,308
37OWENS CORNING NEW$33M308,286
38PARAMOUNT SKYDANCE CORP$32M3,527,388
39BOEING CO$31M156,470
40MERCK & CO INC$29M237,773
41TARGA RES CORP$26M103,376
42BANK AMERICA CORP$24M497,211
43UBER TECHNOLOGIES INC$24M327,713
44SPDR GOLD TR$21M48,023
45SERVICENOW INC$20M195,507
46SPDR SERIES TRUST$20M111,000
47SHOPIFY INC$20M167,956
48MASTERCARD INCORPORATED$20M39,815
49GILEAD SCIENCES INC$20M142,229
50CARVANA CO$20M62,480
All filings on EDGAR ↗

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