Universe · entity

NORDEA INVESTMENT MANAGEMENT AB

Institutional manager (13F) · CIK 1218210
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $62.2B
#IssuerValueShares
1NVIDIA CORPORATION$6.9B40,462,358
2APPLE INC$5.6B22,832,186
3MICROSOFT CORP$4.9B13,520,853
4AMAZON COM INC$3.1B15,241,940
5BROADCOM INC$3.0B10,119,987
6ALPHABET INC$2.5B8,970,240
7ALPHABET INC$2.5B8,804,785
8ELI LILLY & CO$1.3B1,461,892
9LAM RESEARCH CORP$1.3B6,189,689
10CISCO SYS INC$1.3B16,476,809
11META PLATFORMS INC$1.3B2,276,285
12JOHNSON & JOHNSON$1.1B4,684,008
13TJX COS INC NEW$1.1B7,203,304
14MASTERCARD INCORPORATED$1.1B2,270,171
15TRANE TECHNOLOGIES PLC$1.1B2,627,610
16JPMORGAN CHASE & CO$1.0B3,636,099
17MERCK & CO INC$1.0B8,527,993
18ABBVIE INC$947M4,382,783
19NETFLIX INC.$937M9,934,579
20LINDE PLC$936M1,888,023
21CITIGROUP INC$899M8,177,992
22AMGEN INC$876M2,519,147
23WABTEC$864M3,555,877
24ADVANCED MICRO DEVICES INC$857M4,302,573
25MCKESSON CORP$842M988,046
26WASTE MGMT INC DEL$794M3,467,788
27AMERICAN EXPRESS CO$759M2,543,962
28EMERSON ELEC CO$758M5,976,070
29VISA INC$732M2,462,321
30GILEAD SCIENCES INC$727M5,260,363
31NEXTERA ENERGY INC$683M7,461,725
32ZOETIS INC$680M5,865,111
33APPLIED MATLS INC$675M2,043,289
34HCA HEALTHCARE INC$671M1,447,549
35MICRON TECHNOLOGY INC$632M1,958,105
36EBAY INC.$597M6,652,707
37HARTFORD INSURANCE GROUP INC$592M4,427,559
38FORTINET INC$554M6,913,716
39NEWMONT CORP$547M5,165,621
40GE VERNOVA INC$534M632,877
41VERIZON COMMUNICATIONS INC$531M10,650,883
42EQUINIX INC$525M543,920
43EXELON CORP$499M10,282,589
44SNAP ON INC$492M1,373,694
45ARISTA NETWORKS INC$481M4,064,100
46REPUBLIC SVCS INC$472M2,163,016
47WELLS FARGO & CO$468M6,018,502
48PEPSICO INC$460M2,963,383
49KROGER CO$458M6,333,792
50ECOLAB INC$458M1,759,281
All filings on EDGAR ↗

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