Universe · entity

ABN AMRO Bank N.V.

Institutional manager (13F) · CIK 1561082
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $8.1B
#IssuerValueShares
1NVIDIA CORPORATION$903M5,151,950
2MICROSOFT CORP$611M1,641,168
3ASTRAZENECA PLC$482M2,445,171
4BROADCOM INC$294M947,929
5PALO ALTO NETWORKS INC$256M1,579,806
6VISA INC$255M836,356
7S&P GLOBAL INC$244M568,792
8LINDE PLC$242M484,371
9BANK AMERICA CORP$229M4,660,755
10ELI LILLY & CO$221M239,700
11TRANE TECHNOLOGIES PLC$212M502,446
12APPLE INC$207M816,448
13NETFLIX INC.$207M2,130,949
14AMAZON COM INC$202M971,944
15HOME DEPOT INC$199M601,270
16EQUINIX INC$194M195,593
17ABBVIE INC$190M864,389
18QUANTA SVCS INC$187M337,059
19STRYKER CORPORATION$182M549,219
20XYLEM INC$182M1,507,466
21TJX COS INC NEW$176M1,090,904
22ALPHABET INC$172M602,865
23DISNEY WALT CO$171M1,762,589
24OREILLY AUTOMOTIVE INC$162M1,741,322
25TOTALENERGIES SE$148M1,580,934
26GE VERNOVA INC$133M154,801
27JPMORGAN CHASE & CO$120M407,444
28VEEVA SYS INC$111M627,571
29COSTCO WHOLESALE CORPORATION$108M108,000
30CRH PLC$85M818,697
31BLACKROCK INC$74M76,293
32ALPHABET INC$73M252,029
33SERVICENOW INC$72M682,855
34UBER TECHNOLOGIES INC$70M959,035
35MONSTER BEVERAGE CORP NEW$62M854,360
36SPOTIFY TECHNOLOGY S A$60M122,253
37MORGAN STANLEY$57M353,714
38UBS GROUP AG$57M1,470,238
39VERTEX PHARMACEUTICALS INC$53M118,349
40META PLATFORMS INC$52M94,542
41MOTOROLA SOLUTIONS INC$51M116,999
42COCA COLA CO$48M626,872
43CROWDSTRIKE HLDGS INC$44M111,350
44TAIWAN SEMICONDUCTOR MANUFAC$43M127,414
45BAKER HUGHES COMPANY$42M679,842
46FIRST SOLAR INC$40M198,911
47CHENIERE ENERGY INC$37M124,870
48KLA CORP$37M24,743
49AMERICAN EXPRESS CO$34M113,810
50EDWARDS LIFESCIENCES CORP$32M398,425
All filings on EDGAR ↗

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