Universe · entity

Daiwa Securities Group Inc.

Institutional manager (13F) · CIK 1481045
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $24.8B
#IssuerValueShares
1NVIDIA CORPORATION$2.3B13,306,993
2MICROSOFT CORP$2.2B6,022,434
3APPLE INC$1.8B7,236,979
4ALPHABET INC$1.6B5,421,852
5BROADCOM INC$1.4B4,563,290
6AMAZON COM INC$1.3B6,426,782
7META PLATFORMS INC$952M1,663,260
8PALANTIR TECHNOLOGIES INC$909M6,217,069
9WELLTOWER INC$847M4,283,582
10NETFLIX INC$822M8,550,235
11DIGITAL RLTY TR INC$747M4,142,697
12ALPHABET INC$676M2,357,746
13PROLOGIS INC$644M4,873,945
14MICRON TECHNOLOGY INC$636M1,884,021
15VENTAS INC$440M5,382,664
16EQUINIX INC$431M439,415
17EXTRA SPACE STORAGE INC$384M2,927,433
18CROWN CASTLE INC$357M4,385,192
19IRON MTN INC DEL$317M3,107,440
20UNITEDHEALTH GROUP INC$311M1,149,823
21KIMCO REALTY CORP$300M13,357,982
22SIMON PPTY GROUP INC NEW$294M1,578,080
23TESLA INC$261M702,158
24LAM RESEARCH CORP$249M1,165,720
25PUBLIC STORAGE OPER CO$241M890,981
26ORACLE CORP$239M1,626,844
27BXP INC$224M4,319,777
28ESSEX PPTY TR INC$224M924,804
29AGREE RLTY CORP$223M2,961,683
30SUN CMNTYS INC$223M1,768,350
31EQUITY LIFESTYLE PROPERTIES$220M3,526,349
32T-MOBILE US INC$214M1,019,493
33ISHARES TR$180M275,565
34PEPSICO INC$179M1,152,702
35JPMORGAN CHASE & CO$172M584,966
36EASTGROUP PPTYS INC$163M880,158
37WALMART INC$163M1,310,670
38ESSENTIAL PPTYS RLTY TR INC$160M5,283,108
39QUALCOMM INC$153M1,187,359
40UDR INC$150M4,453,170
41COSTCO WHOLESALE CORPORATION$149M149,179
42LAMAR ADVERTISING CO$148M1,166,939
43HEALTHCARE RLTY TR$143M8,422,975
44HOST HOTELS & RESORTS INC$142M7,434,999
45ELI LILLY & CO$138M150,533
46BERKSHIRE HATHAWAY INC DEL$138M288,342
47INVITATION HOMES INC$136M5,485,116
48JOHNSON & JOHNSON$134M548,385
49EXXON MOBIL CORP$132M778,677
50KILROY REALTY CORP$131M4,643,089
All filings on EDGAR ↗

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