Universe · entity

Candriam S.C.A.

Institutional manager (13F) · CIK 1537014
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $11.0B
#IssuerValueShares
1NVIDIA CORPORATION$1.2B7,023,574
2MICROSOFT CORP$991M2,678,207
3APPLE INC$889M3,503,348
4ALPHABET INC$743M2,582,917
5AMAZON COM INC$528M2,535,587
6BROADCOM INC$439M1,418,532
7ELI LILLY & CO$384M417,282
8ABBVIE INC$249M1,144,668
9ALPHABET INC$246M859,128
10GILEAD SCIENCES INC$233M1,670,288
11TAIWAN SEMICONDUCTOR MANUFAC$222M655,660
12MCKESSON CORP$207M239,664
13JOHNSON & JOHNSON$195M798,815
14MASTERCARD INCORPORATED$195M389,267
15PALO ALTO NETWORKS INC$192M1,198,697
16LAM RESEARCH CORP$185M866,516
17VISA INC$176M583,683
18THERMO FISHER SCIENTIFIC INC$174M354,087
19MICRON TECHNOLOGY INC$174M514,404
20NEXTERA ENERGY INC$170M1,826,628
21META PLATFORMS INC$161M281,020
22MERCK & CO INC$159M1,322,654
23INTUITIVE SURGICAL INC$151M328,149
24REGENERON PHARMACEUTICALS$144M186,388
25JPMORGAN CHASE & CO$140M476,801
26AMGEN INC$139M395,351
27AGILENT TECHNOLOGIES INC$132M1,157,090
28SERVICENOW INC$122M1,163,560
29ADVANCED MICRO DEVICES INC$120M592,148
30XYLEM INC$116M974,871
31GE VERNOVA INC$114M130,990
32KLA CORP$111M75,551
33SALESFORCE INC$110M588,368
34TESLA INC$109M293,400
35PROCTER & GAMBLE CO$102M709,122
36VERTEX PHARMACEUTICALS INC$102M228,915
37HOME DEPOT INC$101M308,386
38EXELON CORP$98M2,001,357
39ANALOG DEVICES INC$91M285,195
40ON SEMICONDUCTOR CORP$86M1,394,653
41WABTEC$83M331,492
42BOSTON SCIENTIFIC CORP$79M1,261,461
43BEONE MEDICINES LTD$77M259,731
44KEYSIGHT TECHNOLOGIES INC$77M271,425
45MORGAN STANLEY$76M461,887
46TJX COS INC NEW$76M474,548
47CADENCE DESIGN SYSTEM INC$76M272,501
48MONOLITHIC PWR SYS INC$75M68,944
49ALNYLAM PHARMACEUTICALS INC$74M224,330
50SCHWAB CHARLES CORP$72M764,475
All filings on EDGAR ↗

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