Universe · entity

AVIVA PLC

Institutional manager (13F) · CIK 1140022
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $34.4B
#IssuerValueShares
1NVIDIA CORPORATION$4.0B23,058,023
2APPLE INC$3.4B13,199,906
3MICROSOFT CORP$2.6B7,131,470
4ASTRAZENECA PLC$2.1B11,087,661
5AMAZON COM INC$1.7B8,349,689
6ALPHABET INC$1.7B5,849,431
7BROADCOM INC$1.5B4,688,547
8ALPHABET INC$1.4B4,716,851
9META PLATFORMS INC$1.1B1,982,011
10TESLA INC$922M2,480,047
11JPMORGAN CHASE & CO$912M3,099,451
12ELI LILLY & CO$655M712,581
13VISA INC$646M2,137,499
14EXXON MOBIL CORP$630M3,714,322
15BERKSHIRE HATHAWAY INC DEL$546M1,140,248
16WALMART INC$544M4,377,853
17JOHNSON & JOHNSON$521M2,132,397
18COSTCO WHOLESALE CORPORATI$439M440,250
19HOME DEPOT INC$397M1,205,578
20CHEVRON CORPORATION$393M1,898,306
21MERCK & CO INC$389M3,236,573
22COCA COLA CO$386M5,077,195
23NETFLIX INC.$371M3,853,620
24MASTERCARD INCORPORATED$368M735,780
25BANK AMERICA CORP$346M7,095,518
26MICRON TECHNOLOGY INC$340M1,006,363
27ABBVIE INC$333M1,531,018
28PROCTER & GAMBLE CO$332M2,297,113
29TOTALENERGIES SE$325M3,491,964
30LINDE PLC$303M610,303
31CATERPILLAR INC$296M417,301
32PALANTIR TECHNOLOGIES INC$285M1,950,069
33ADVANCED MICRO DEVICES INC$284M1,396,327
34CISCO SYS INC$271M3,490,152
35GE AEROSPACE$265M932,337
36PEPSICO INC$254M1,638,600
37APPLIED MATLS INC$244M714,309
38LAM RESEARCH CORP$239M1,116,324
39CRH PLC$237M2,258,984
40DANAHER CORP DEL$236M1,244,336
41ABBOTT LABORATORIES$236M2,297,252
42GOLDMAN SACHS GROUP INC$230M271,496
43RTX CORPORATION$223M1,154,319
44TJX COS INC NEW$222M1,393,131
45WELLS FARGO & CO$218M2,734,631
46ORACLE CORP$216M1,469,194
47NEXTERA ENERGY INC$216M2,324,975
48WABTEC$213M851,930
49UNITEDHEALTH GROUP INC$211M781,494
50GE VERNOVA INC$211M241,512
All filings on EDGAR ↗

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