Universe · entity

Amundi

Institutional manager (13F) · CIK 1330387
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $209.3B
#IssuerValueShares
1NVIDIA CORPORATION$23.3B133,768,018
2TOTALENERGIES SE$18.9B207,395,270
3APPLE INC$18.5B73,082,616
4MICROSOFT CORP$15.4B41,675,076
5AMAZON COM INC$12.8B61,400,503
6ALPHABET INC$9.1B31,745,979
7TESLA INC$8.2B22,174,884
8BROADCOM INC$8.1B26,064,886
9META PLATFORMS INC$6.8B11,858,972
10ALPHABET INC$6.3B21,922,379
11ELI LILLY & CO$4.6B5,055,025
12EXXON MOBIL CORP$4.2B24,511,156
13JOHNSON & JOHNSON$3.3B13,406,820
14ASTRAZENECA PLC$3.0B15,386,149
15COSTCO WHOLESALE CORPORATION$2.8B2,839,016
16ADVANCED MICRO DEVICES INC$2.8B13,680,956
17CHEVRON CORPORATION$2.5B12,185,436
18PALANTIR TECHNOLOGIES INC$2.4B16,410,400
19ABBVIE INC$2.3B10,698,095
20BERKSHIRE HATHAWAY INC DEL$2.3B4,707,966
21APPLIED MATLS INC$2.2B6,561,331
22NETFLIX INC.$2.2B23,190,731
23LAM RESEARCH CORP$2.2B10,147,479
24BANK AMERICA CORP$2.1B42,385,115
25JPMORGAN CHASE & CO$2.0B6,968,496
26MICRON TECHNOLOGY INC$2.0B5,970,808
27VISA INC$2.0B6,622,604
28HOME DEPOT INC$1.9B5,806,338
29WALMART INC$1.8B14,403,631
30DEUTSCHE BK AG$1.8B60,059,707
31PEPSICO INC$1.8B11,444,671
32TEXAS INSTRS INC$1.8B9,064,214
33GE AEROSPACE$1.7B6,119,975
34UNITEDHEALTH GROUP INC$1.7B6,376,198
35INTEL CORP$1.7B38,969,192
36MASTERCARD INCORPORATED$1.7B3,426,992
37MERCK & CO INC$1.7B13,764,954
38KLA CORP$1.6B1,096,728
39ANALOG DEVICES INC$1.6B5,044,271
40GE VERNOVA INC$1.6B1,805,183
41CATERPILLAR INC$1.6B2,217,637
42LINDE PLC$1.6B3,162,409
43GILEAD SCIENCES INC$1.5B10,539,111
44RTX CORPORATION$1.4B7,472,243
45ORACLE CORP$1.4B9,734,097
46COCA COLA CO$1.4B18,762,368
47CISCO SYS INC$1.4B18,129,660
48GOLDMAN SACHS GROUP INC$1.4B1,655,923
49TJX COS INC NEW$1.4B8,632,215
50CITIGROUP INC$1.4B12,126,823
All filings on EDGAR ↗

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