Universe · entity

SATURNA CAPITAL CORP

Institutional manager (13F) · CIK 1316617
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $7.0B
#IssuerValueShares
1Taiwan Semiconductor ADS$673M1,992,101
2Eli Lilly$511M555,104
3Broadcom Ltd$463M1,497,180
4Apple$452M1,780,138
5ASML Holding NY$418M316,657
6Alphabet, Class A$412M1,431,204
7Microsoft$388M1,047,266
8NVIDIA$385M2,208,991
9Johnson Controls International$341M2,604,438
10TJX Companies$195M1,220,155
11AbbVie$170M781,671
12Trane$167M401,732
13Astrazeneca PLC$162M821,571
14Cisco Systems$139M1,788,543
15AutoZone$138M40,965
16Stryker$121M367,413
17ServiceNow$120M1,151,313
18Church & Dwight$111M1,189,676
19Trimble$110M1,682,542
20Rockwell Automation$108M301,481
21Lowe's$98M414,432
22Oracle$92M625,467
23W.W. Grainger$89M81,994
24Advanced Micro Devices$86M421,134
25Illinois Tool Works$80M306,212
26Eaton Corp PLC$72M201,103
27Linde$71M142,925
28Lincoln Electric Holdings$67M268,975
29Novo Nordisk ADS$66M1,790,627
30Waste Management$62M270,936
31Ferguson Enterprises Inc$56M241,805
32Texas Instruments$50M257,374
33Novartis ADS$48M311,008
34Unilever ADS$45M794,310
35Johnson & Johnson$44M179,177
36Canadian National Railway$41M400,263
37Abbott Laboratories$40M391,930
38Colgate-Palmolive$38M450,252
39Air Products & Chemicals$35M122,166
40United Parcel Service, Cl B$30M303,390
41Kimberly-Clark$29M301,117
42Kenvue Inc$29M1,677,123
43CRH PLC$28M264,355
44Home Depot$23M69,386
45Merck & Co$19M157,451
46Nike, Class B$19M356,440
47Genuine Parts$16M152,010
48Rio Tinto ADS$10M107,264
49Quimica y Minera Chile ADS$10M121,186
50Barrick Mining Corporation$9M212,061
All filings on EDGAR ↗

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