Universe · entity

KBC Group NV

Institutional manager (13F) · CIK 1411133
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $24M
#IssuerValueShares
1NVIDIA CORPORATION$3M19,004,336
2APPLE INC$2M9,131,650
3MICROSOFT CORP$2M5,973,157
4ALPHABET INC$2M6,836,297
5AMAZON COM INC$1M6,572,510
6BROADCOM INC$1M3,856,480
7META PLATFORMS INC$841k1,470,684
8JPMORGAN CHASE & CO$672k2,284,965
9ELI LILLY & CO$530k576,203
10TESLA INC$428k1,151,214
11BANK AMERICA CORP$403k8,273,204
12CITIGROUP INC$398k3,507,535
13GILEAD SCIENCES INC$373k2,679,656
14LAM RESEARCH CORP$333k1,560,414
15JOHNSON & JOHNSON$310k1,269,307
16MORGAN STANLEY$299k1,814,373
17MICRON TECHNOLOGY INC$290k859,664
18ALPHABET INC$288k1,002,889
19GOLDMAN SACHS GROUP INC$278k328,720
20LINDE PLC$261k525,612
21BRISTOL-MYERS SQUIBB CO$243k4,009,205
22PFIZER INC$238k8,471,914
23BERKSHIRE HATHAWAY INC DEL$235k490,547
24VISA INC$235k776,705
25SALESFORCE INC$228k1,222,004
26INTERNATIONAL BUSINESS MACHS$224k925,680
27QUALCOMM INC$223k1,735,386
28MASTERCARD INCORPORATED$223k445,783
29ADVANCED MICRO DEVICES INC$221k1,086,598
30UBER TECHNOLOGIES INC$212k2,953,222
31UNITEDHEALTH GROUP INC$212k783,880
32WELLTOWER INC$211k1,066,140
33GE VERNOVA INC$198k227,164
34CORNING INC$193k1,420,527
35CAPITAL ONE FINL CORP$191k1,049,133
36ORACLE CORP$188k1,275,191
37CARDINAL HEALTH INC$183k864,827
38INTUITIVE SURGICAL INC$177k385,028
39CORTEVA INC$174k2,082,909
40HCA HEALTHCARE INC$168k354,583
41KIMBERLY-CLARK CORP$164k1,695,768
42AMPHENOL CORP$163k1,287,679
43CATERPILLAR INC$162k229,297
44SIMON PPTY GROUP INC NEW$157k840,002
45FERGUSON ENTERPRISES INC$157k671,258
46MONSTER BEVERAGE CORP NEW$156k2,156,480
47BOSTON SCIENTIFIC CORP$152k2,420,506
48CISCO SYS INC$151k1,951,867
49CF INDUSTRIES HOLD$150k1,156,575
50PROCTER & GAMBLE CO$150k1,038,553
All filings on EDGAR ↗

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