Universe · entity

Alecta Tjanstepension Omsesidigt

Institutional manager (13F) · CIK 1484429
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $18.1B
#IssuerValueShares
1NVIDIA CORP$1.7B9,707,900
2ALPHABET INC$1.6B5,642,500
3MICROSOFT CORP$1.6B4,300,000
4AMAZON.COM INC.$1.1B5,073,500
5BROADCOM CORPORATION$767M2,478,900
6APPLE INC$674M2,656,000
7TJX COS INC$570M3,566,065
8TEXAS INSTRUMENTS$453M2,333,300
9J.P. MORGAN CHASE & CO$425M1,446,300
10VISA INC A$425M1,407,600
11NETFLIX INC$410M4,260,000
12AMPHENOL CORPORATION$401M3,175,000
13ELI LILLY & CO$388M421,700
14META PLATFORMS INC$360M630,200
15ADVANCED MICRO DEV$351M1,725,500
16ANALOG DEVICES$313M984,000
17ABBVIE INC$303M1,393,700
18WALT DISNEY CO/THE$303M3,143,900
19APPLIED MATERIALS INC$299M875,400
20KLA CORP$293M199,000
21SPOTIFY TECHNOLOGY S.A$287M593,000
22MASTERCARD INC$270M540,360
23S&P GLOBAL INC$216M508,000
24CINTAS CORPORATION$216M1,275,500
25MORGAN STANLEY$210M1,279,100
26WAL-MART STORES, INC.$209M1,684,200
27PNC BANK CORP$204M981,700
28MERCK & CO$197M1,640,300
29BANK OF AMERICA CORPORATION$195M4,003,200
30SYNOPSYS INC.$192M484,860
31LINDE PLC$190M383,800
32FIFTH THIRD BANCORP$182M3,928,300
33STRYKER CORP$180M547,900
34BOSTON SCIENTIFIC CORP$180M2,865,900
35CATERPILLAR INC.$176M248,500
36THERMO FISHER SCIENTIFIC INC$173M352,200
37DANAHER CORP$167M879,300
38PALO ALTO NETWORKS INC$164M1,025,000
39ILLINOIS TOOL WORKS INC$157M603,500
40AMETEK INC$157M730,365
41SALESFORCE COM INC$153M821,040
42SERVICENOW INC$153M1,459,400
43ORACLE CORP$152M1,035,000
44ABBOTT LABS$149M1,455,700
45JOHNSON & JOHNSON$148M607,100
46ROCKWELL AUTOMATION INC$148M412,475
47PROGRESSIVE CORP/THE$138M694,800
48HOME DEPOT INC$133M405,500
49GRACO INC$130M1,535,100
50ECOLAB$127M479,000
All filings on EDGAR ↗

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