Universe · entity

Meiji Yasuda Life Insurance Co

Institutional manager (13F) · CIK 1144492
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $2.7B
#IssuerValueShares
1ISHARES TR$2.1B19,120,368
2VANGUARD SCOTTSDALE FDS$212M2,833,000
3NVIDIA CORPORATION$40M231,218
4SELECT SECTOR SPDR TR$34M259,155
5APPLE INC$33M131,431
6ISHARES TR$27M1,179,000
7ALPHABET INC CAP STK$26M92,023
8MICROSOFT CORP$24M65,534
9SELECT SECTOR SPDR TR$20M126,683
10ISHARES TR$18M755,000
11AMAZON COM INC$18M86,755
12SELECT SECTOR SPDR TR$14M283,649
13BROADCOM INC$13M43,269
14META PLATFORMS INC$12M20,856
15JPMORGAN CHASE & CO$9M30,398
16TESLA INC$8M21,744
17WALMART INC$7M56,937
18ELI LILLY & CO$7M7,296
19JOHNSON & JOHNSON$6M25,907
20VISA INC$6M20,900
21BLACKROCK ETF TRUST II ISHARES AAA$5M98,000
22ABBVIE INC$5M22,176
23EXXON MOBIL CORP$4M26,510
24MICRON TECHNOLOGY INC$4M13,096
25TJX COS INC NEW$4M27,625
26BERKSHIRE HATHAWAY INC DEL$4M8,918
27CITIGROUP INC$4M36,791
28COSTCO WHOLESALE CORPORATION$4M4,180
29NETFLIX INC.$4M42,682
30PALANTIR TECHNOLOGIES INC$4M27,160
31HOME DEPOT INC$4M11,789
32LINDE PLC$4M7,767
33WELLS FARGO & CO$4M47,123
34PROCTER & GAMBLE CO$4M25,717
35PHILIP MORRIS INTL INC$4M21,746
36COCA COLA CO$4M46,854
37NEXTERA ENERGY INC$3M33,927
38CUMMINS INC$3M5,764
39ALPHABET INC CAP STK$3M10,544
40LAM RESEARCH CORP$3M14,150
41BLACKROCK INC$3M2,971
42WELLTOWER INC$3M14,450
43VERTIV HOLDINGS CO$3M11,085
44BOOKING HOLDINGS INC$3M659
45QUANTA SVCS INC$3M5,030
46FEDEX CORP$3M7,708
47GE VERNOVA INC$3M3,138
48EOG RES INC$3M18,946
49ORACLE CORP$3M18,515
50AMERICAN EXPRESS CO$3M8,893
All filings on EDGAR ↗

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