Universe · entity

Zurich Insurance Group Ltd/FI

Institutional manager (13F) · CIK 1127799
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $7.6B
#IssuerValueShares
1NVIDIA CORPORATION$840M4,815,607
2APPLE INC$766M3,019,479
3ALPHABET INC$619M2,151,493
4MICROSOFT CORP$536M1,448,223
5AMAZON COM INC$371M1,779,179
6BROADCOM INC$274M884,159
7META PLATFORMS INC$228M397,692
8TESLA INC$171M459,933
9ELI LILLY & CO$157M170,467
10JPMORGAN CHASE & CO$146M497,751
11EXXON MOBIL CORP$138M813,402
12JOHNSON & JOHNSON$130M531,632
13NETFLIX INC.$129M1,342,560
14ASTRAZENECA PLC$127M657,228
15BERKSHIRE HATHAWAY INC DEL$118M245,420
16MERCK & CO INC$116M967,598
17COSTCO WHOLESALE CORPORATION$114M114,906
18VISA INC$110M363,922
19TOTALENERGIES SE$107M1,151,571
20NEXTERA ENERGY INC$104M1,123,113
21WALMART INC$103M830,886
22COCA COLA CO$101M1,324,627
23LINDE PLC$99M198,785
24CITIGROUP INC$97M854,350
25LAM RESEARCH CORP$90M422,410
26RTX CORPORATION$89M461,564
27CATERPILLAR INC$85M119,852
28CHEVRON CORPORATION$84M404,384
29PHILIP MORRIS INTL INC$83M503,063
30WASTE MGMT INC DEL$83M361,782
31CISCO SYS INC$83M1,069,596
32MASTERCARD INCORPORATED$79M157,365
33REGENERON PHARMACEUTICALS$77M99,069
34CARDINAL HEALTH INC$76M358,677
35EQUINIX INC$75M76,997
36US BANCORP$75M1,448,978
37ANALOG DEVICES INC$73M228,127
38BANK MONTREAL MEDIUM$72M533,308
39AMPHENOL CORP$71M563,112
40T-MOBILE US INC$71M337,049
41PROCTER & GAMBLE CO$70M482,151
42INTERNATIONAL BUSINESS MACHS$70M287,192
43CHURCH & DWIGHT CO INC$69M740,220
44GE VERNOVA INC$69M79,004
45HOME DEPOT INC$67M202,966
46THERMO FISHER SCIENTIFIC INC$65M133,106
47ULTA BEAUTY INC$64M122,796
48CIENA CORP$64M165,181
49VENTAS INC$63M768,351
50XCEL ENERGY INC$62M779,301
All filings on EDGAR ↗

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