Universe · entity

TOKIO MARINE ASSET MANAGEMENT CO LTD

Institutional manager (13F) · CIK 1504169
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $1.8B
#IssuerValueShares
1NVIDIA CORPORATION$214M1,229,713
2APPLE INC$169M666,208
3MICROSOFT CORP$140M378,788
4AMAZON COM INC$108M518,084
5ALPHABET INC$89M309,397
6BROADCOM INC$80M258,466
7ALPHABET INC$79M276,370
8META PLATFORMS INC$51M88,951
9ELI LILLY & CO$47M50,687
10VISA INC$46M151,925
11MASTERCARD INCORPORATED$44M88,311
12WALMART INC$38M309,167
13COSTCO WHOLESALE CORPORATION$38M37,779
14TESLA INC$38M101,121
15EXXON MOBIL CORP$35M205,331
16NETFLIX INC.$31M326,896
17PHILIP MORRIS INTL INC$29M174,599
18JPMORGAN CHASE & CO$28M96,277
19TJX COS INC NEW$28M173,225
20OREILLY AUTOMOTIVE INC$25M268,522
21BERKSHIRE HATHAWAY INC DEL$23M48,275
22CADENCE DESIGN SYSTEM INC$22M77,768
23JOHNSON & JOHNSON$21M84,684
24TAIWAN SEMICONDUCTOR MANUFAC$20M57,955
25CHEVRON CORPORATION$18M88,648
26AMETEK INC$18M84,085
27ARISTA NETWORKS INC$17M140,863
28MERCK & CO INC$17M139,552
29ROLLINS INC$16M305,783
30UNITEDHEALTH GROUP INC$15M53,846
31MOODYS CORP$14M31,907
32MSCI INC$14M25,538
33MICRON TECHNOLOGY INC$14M40,627
34ABBVIE INC$14M62,646
35SALESFORCE INC$12M66,266
36PALANTIR TECHNOLOGIES INC$12M83,271
37ADVANCED MICRO DEVICES INC$12M59,147
38CATERPILLAR INC$12M16,979
39WARNER BROS DISCOVERY INC$12M437,004
40BANK AMERICA CORP$12M243,261
41PROCTER & GAMBLE CO$12M81,675
42HOME DEPOT INC$11M34,565
43CISCO SYS INC$11M143,900
44GE AEROSPACE$11M38,241
45COCA COLA CO$11M142,378
46ZOETIS INC$11M88,948
47LINDE PLC$10M20,983
48NEXTERA ENERGY INC$10M107,687
49APPLIED MATLS INC$10M28,873
50LAM RESEARCH CORP$10M45,740
All filings on EDGAR ↗

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