Universe · entity

BANQUE PICTET & CIE SA

Institutional manager (13F) · CIK 1535602
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $7.1B
#IssuerValueShares
1AMAZON COM INC$861M4,135,006
2MICROSOFT CORP$708M1,921,942
3ALPHABET INC$507M1,767,455
4ALPHABET INC$465M1,616,366
5MCDONALDS CORP$346M1,112,712
6MASTERCARD INCORPORATED$332M664,131
7WASTE MGMT INC DEL$299M1,299,570
8TEXAS INSTRS INC$295M1,520,656
9NVIDIA CORPORATION$261M1,494,819
10ZOETIS INC$215M1,820,022
11MSCI INC$210M390,135
12META PLATFORMS INC$185M323,038
13MODERNA INC$140M2,748,754
14APPLE INC$139M546,252
15TOTALENERGIES SE$131M1,404,573
16TAIWAN SEMICONDUCTOR MANUFAC$124M367,909
17BROADCOM INC$123M396,828
18VISA INC$111M366,077
19INVESCO QQQ TR$87M151,065
20STATE STR SPDR S&P 500 ETF T$85M130,998
21ABBVIE INC$81M372,484
22WELLS FARGO & CO$74M935,090
23PHILIP MORRIS INTL INC$74M446,472
24UBS GROUP AG$64M1,665,074
25MEDLINE INC$63M1,420,967
26MERCK & CO INC$62M513,131
27LINDE PLC$61M123,292
28EATON CORP PLC$61M170,129
29ELI LILLY & CO$59M64,354
30BOSTON SCIENTIFIC CORP$58M921,164
31OREILLY AUTOMOTIVE INC$55M597,537
32UNITEDHEALTH GROUP INC$53M194,343
33STRYKER CORPORATION$51M155,893
342023 ETF SERIES TRUST$51M2,100,000
35ADVANCED MICRO DEVICES INC$49M241,118
36SALESFORCE INC$48M256,125
37MARSH & MCLENNAN COS INC$46M267,676
38MICRON TECHNOLOGY INC$46M135,197
39ALCON AG$45M615,561
40OWENS CORNING NEW$44M402,697
41DEERE & CO$43M76,629
42JOHNSON & JOHNSON$42M170,434
43NETFLIX INC.$39M402,013
44BANK AMERICA CORP$38M789,707
45ASTRAZENECA PLC$38M195,810
46UBER TECHNOLOGIES INC$35M486,186
47TARGA RES CORP$33M129,777
48TJX COS INC NEW$31M195,205
49MOODYS CORP$31M70,672
50PEPSICO INC$29M188,632
All filings on EDGAR ↗

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