Universe · entity

Mitsubishi UFJ Trust & Banking Corp

Institutional manager (13F) · CIK 1462160
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $20.5B
#IssuerValueShares
1NVIDIA CORP.$2.2B12,886,254
2APPLE INC$1.9B7,532,234
3MICROSOFT CORP$1.4B3,842,451
4AMAZON.COM INC.$1.1B5,446,447
5ALPHABET INC/CA-CL A$935M3,250,426
6ALPHABET INC/CA-CL C$751M2,616,656
7META PLATFORMS INC-A$729M1,273,935
8BROADCOM INC$683M2,207,259
9TESLA INC$486M1,308,402
10H WORLD GROUP LT(ADR$439M8,730,201
11ELI LILLY AND COMPAN$409M444,790
12JOHNSON & JOHNSON$404M1,652,178
13JPMORGAN CHASE & CO$395M1,342,241
14EXXON MOBIL CORP.$388M2,289,094
15PDD HOLDINGS INC(ADR$364M3,565,421
16DUKE ENERGY CORP.$349M2,663,985
17MASTERCARD INC-A$331M662,206
18VISA INC-CL A SHARES$318M1,053,238
19WALMART INC$303M2,437,798
20BERKSHIRE HATHAWAY'B$301M629,136
21UNION PACIFIC$300M1,236,747
22NEXTERA ENERGY INC.$289M3,108,876
23AMERICAN ELECTRIC PO$275M2,101,358
24NETFLIX INC$275M2,861,576
25ONEOK INC.$239M2,644,681
26COSTCO WHOLESALE CO.$239M239,506
27ABBVIE INC$238M1,095,212
28CSX$233M5,682,207
29SEMPRA$212M2,183,861
30XCEL ENERGY INC$210M2,642,020
31CISCO SYSTEMS INC$209M2,697,507
32SEA LTD-ADR$201M2,422,571
33ISHARES CORE S&P 500$199M305,368
34PROCTER & GAMBLE$199M1,380,257
35CHENIERE ENERGY INC$199M701,900
36CHEVRON CORP$197M952,573
37MERCADOLIBRE INC$196M113,536
38MERCK & CO. INC$191M1,586,105
39CATERPILLAR$190M268,238
40PEPSICO INC.$186M1,199,975
41SBA COMMUNICATIONS C$185M1,074,795
42MICRON TECHNOLOGY$182M538,206
43SPDR GOLD TRUST$181M421,700
44LAM RESEARCH CORP.$178M834,101
45DOMINION ENERGY INC$176M2,841,417
46COCA-COLA COMPANY$171M2,249,027
47BANK OF AMERICA CORP$167M3,420,923
48APPLIED MATERIALS$165M483,369
49PG AND E CORPORATION$165M9,387,973
50VERIZON COMMUNICAT.$163M3,238,083
All filings on EDGAR ↗

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