Universe · entity

Epoch Investment Partners, Inc.

Institutional manager (13F) · CIK 1305841
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $8.3B
#IssuerValueShares
1NVIDIA CORPORATION$370M2,120,519
2ABBVIE INC$328M1,506,142
3BROADCOM INC$316M1,019,499
4APPLE INC$313M1,231,865
5MICROSOFT CORP$292M788,663
6META PLATFORMS INC$248M432,760
7JPMORGAN CHASE & CO$235M800,542
8APPLIED MATLS INC$225M659,689
9ALPHABET INC$208M723,866
10CISCO SYS INC$205M2,644,857
11HCA HEALTHCARE INC$195M412,897
12EMCOR GROUP INC$194M262,823
13REGENERON PHARMACEUTICALS$184M238,725
14ACCENTURE PLC IRELAND$179M902,498
15NETAPP INC$179M1,743,918
16FABRINET$168M322,350
17TAIWAN SEMICONDUCTOR MANUFAC$167M494,355
18UBER TECHNOLOGIES INC$163M2,264,630
19KLA CORP$162M110,231
20DELL TECHNOLOGIES INC$158M964,040
21TEXAS PACIFIC LAND CORPORATI$157M331,137
22MONSTER BEVERAGE CORP NEW$154M2,130,327
23CVS HEALTH CORP$146M2,039,191
24FASTENAL CO$142M3,056,395
25MASTERCARD INCORPORATED$139M277,878
26WEST PHARMACEUTICAL SVSC INC$137M545,050
27YUM BRANDS INC$135M870,866
28LAM RESEARCH CORP$135M632,784
29MAGNOLIA OIL & GAS CORP$135M4,275,509
30BOOKING HOLDINGS INC$131M31,225
31COSTCO WHOLESALE CORPORATION$131M131,518
32HEWLETT PACKARD ENTERPRISE C$130M5,458,404
33ZOETIS INC$128M1,080,634
34TJX COS INC NEW$127M797,750
35ANALOG DEVICES INC$126M397,570
36AMAZON COM INC$124M597,495
37LPL FINL HLDGS INC$123M408,301
38PACCAR INC$121M1,048,314
39INTERNATIONAL BUSINESS MACHS$121M497,613
40DECKERS OUTDOOR CORP$120M1,203,526
41AT&T INC$119M4,120,592
42AMERICAN ELEC PWR CO INC$118M899,618
43VISA INC$118M389,868
44METTLER TOLEDO INTERNATIONAL$118M93,270
45CHEVRON CORPORATION$118M568,186
46AMERIPRISE FINL INC$117M263,704
47COPART INC$113M3,405,198
48OLD DOMINION FREIGHT LINE IN$113M578,532
49ELI LILLY & CO$113M122,816
50ULTA BEAUTY INC$112M213,761
All filings on EDGAR ↗

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