Universe · entity

DnB Asset Management AS

Institutional manager (13F) · CIK 1456670
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $18.7B
#IssuerValueShares
1Microsoft Corp$2.1B5,541,288
2Nvidia Corp$1.8B10,232,504
3Amazon.com Inc$1.6B7,450,247
4Alphabet Inc$1.4B4,857,942
5Apple Inc$1.2B4,806,571
6Meta Platforms Inc$941M1,644,478
7Broadcom Inc$760M2,455,734
8Visa Inc$603M1,995,999
9Atlassian Corp$551M8,077,726
10Mastercard Inc$548M1,096,009
11Oracle Corp$415M2,818,172
12HP Inc$380M19,803,404
13Eli Lilly & Co$314M340,886
14Tesla Inc$313M841,266
15Alphabet Inc$307M1,071,692
16T-Mobile US Inc$293M1,396,143
17Check Point Software Tech LT$254M1,780,850
18Bank of America Corp$238M4,876,644
19JPMorgan Chase & Co$226M767,773
20Citigroup Inc$205M1,808,403
21ServiceNow Inc$202M1,929,358
22Exxon Mobil Corp$201M1,182,418
23Goldman Sachs Group Inc$200M236,641
24Marvell Technology Inc$199M2,008,554
25Johnson & Johnson$177M725,901
26Chubb Ltd$175M535,992
27GE Aerospace$168M591,094
28Qualcomm Inc$164M1,270,194
29Berkshire Hathaway Inc$161M335,234
30Booking Holdings Inc$153M36,262
31S&P Global Inc$149M351,196
32Walmart Inc$149M1,195,407
33UnitedHealth Group Inc$145M536,703
34NextEra Energy Inc$139M1,496,597
35PepsiCo Inc$136M878,114
36AbbVie Inc$136M626,875
37Home Depot Inc$135M409,740
38Netflix Inc$134M1,390,683
39Advanced Micro Devices Inc$131M642,896
40Cisco Systems Inc$129M1,663,322
41Waste Management Inc$125M543,153
42Emerson Electric Co$121M925,822
43Micron Technology Inc$119M352,682
44Chevron Corp$117M565,998
45Intuitive Surgical Inc$116M252,167
46Coca-Cola Europacific Partne$109M1,428,396
47Merck & Co Inc$108M897,124
48Costco Wholesale Corp$107M107,670
49GE Vernova Inc$106M121,787
50Match Group Inc$106M3,440,583
All filings on EDGAR ↗

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