Universe · entity

ASAHI LIFE ASSET MANAGEMENT CO., LTD.

Institutional manager (13F) · CIK 1564835
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $119M
#IssuerValueShares
1NVIDIA CORPORATION$8M48,564
2APPLE INC$8M32,629
3MICROSOFT CORP$7M19,721
4GOLDMAN SACHS GROUP INC$7M8,054
5CATERPILLAR INC$6M9,087
6ALPHABET INC$5M17,861
7AMAZON COM INC$5M23,882
8JPMORGAN CHASE & CO$4M13,419
9AMGEN INC$3M9,868
10VISA INC$3M10,697
11HOME DEPOT INC$3M9,606
12JOHNSON & JOHNSON$3M11,957
13MCDONALDS CORP$3M9,101
14CHEVRON CORPORATION$3M12,973
15UNITEDHEALTH GROUP INC$3M9,417
16SHERWIN WILLIAMS CO$3M7,925
17AMERICAN EXPRESS CO$3M8,396
18TRAVELERS COMPANIES INC$2M7,925
19INTERNATIONAL BUSINESS MACHS$2M9,359
20WALMART INC$2M18,120
21SALESFORCE INC$2M11,280
22META PLATFORMS INC$2M3,618
23HONEYWELL INTL INC$2M8,978
24BROADCOM INC$2M6,521
25BOEING CO$2M9,243
26TESLA INC$2M4,691
27PROCTER & GAMBLE CO$2M11,744
28MERCK & CO INC$1M12,158
29ELI LILLY & CO$1M1,361
30EXXON MOBIL CORP$1M6,987
313M CO$1M7,925
32CISCO SYS INC$1M14,731
33BERKSHIRE HATHAWAY INC DEL$1M2,331
34COCA COLA CO$1M14,264
35COSTCO WHOLESALE CORPORATION$1M1,062
36VERIZON COMMUNICATIONS INC$1M20,901
37ABBVIE INC$968k4,449
38MICRON TECHNOLOGY INC$902k2,669
39ADVANCED MICRO DEVICES INC$866k4,257
40BANK AMERICA CORP$854k17,520
41PALANTIR TECHNOLOGIES INC$844k5,771
42DISNEY WALT CO$764k7,925
43PHILIP MORRIS INTL INC$749k4,529
44APPLIED MATLS INC$747k2,186
45RTX CORPORATION$742k3,844
46MASTERCARD INCORPORATED$733k1,466
47INTEL CORP$702k15,904
48WELLS FARGO & CO$701k8,806
49CITIGROUP INC$648k5,716
50TEXAS INSTRS INC$619k3,190
All filings on EDGAR ↗

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