Universe · entity

Vontobel Holding Ltd.

Institutional manager (13F) · CIK 1588340
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $18.1B
#IssuerValueShares
1MICROSOFT CORP$1.2B3,179,965
2NVIDIA CORPORATION$1.0B5,774,599
3AMAZON COM INC$781M3,750,397
4WASTE MGMT INC DEL$673M2,926,613
5ALPHABET INC$621M2,157,815
6CME GROUP INC$598M2,024,046
7UBS GROUP AG$581M15,126,281
8COCA COLA CO$538M7,076,227
9BROADCOM INC$502M1,620,482
10BOSTON SCIENTIFIC CORP$501M7,978,214
11APPLE INC$479M1,887,507
12MASTERCARD INCORPORATED$469M939,213
13NETFLIX INC.$464M4,830,954
14LOGITECH INTL S A$439M4,849,308
15ALPHABET INC$438M1,528,617
16RB GLOBAL INC$424M4,418,417
17META PLATFORMS INC$423M738,985
18ALCON AG$405M5,463,726
19TAIWAN SEMICONDUCTOR MANUFAC$379M1,122,179
20INTUIT$373M862,615
21CASEYS GEN STORES INC$368M506,155
22AUTOZONE INC$340M100,521
23FERGUSON ENTERPRISES INC$333M1,429,604
24AON PLC$323M999,176
25INTERCONTINENTAL EXCHANGE IN$307M1,951,010
26THERMO FISHER SCIENTIFIC INC$296M601,220
27ABBOTT LABORATORIES$282M2,744,773
28SYNOPSYS INC$268M676,251
29TJX COS INC NEW$268M1,677,939
30JOHNSON & JOHNSON$247M1,009,733
31CINTAS CORP$239M1,411,781
32ECOLAB INC$234M880,466
33TKO GROUP HOLDINGS INC$229M1,135,871
34AMPHENOL CORP$225M1,783,600
35VULCAN MATLS CO$224M821,496
36AMRIZE LTD$221M4,061,916
37IRON MTN INC DEL$216M2,116,877
38CRH PLC$214M2,034,550
39KINDER MORGAN INC DEL$190M5,656,248
40SERVICENOW INC$187M1,785,765
41NEXTERA ENERGY INC$185M1,988,927
42PHILIP MORRIS INTL INC$180M1,086,371
43VISA INC$171M565,260
44EMERSON ELEC CO$168M1,279,230
45STELLANTIS N.V$165M23,537,209
46ALLEGION PLC$164M1,126,509
47AUTODESK INC$161M673,422
48FERRARI N V$158M473,899
49PROGRESSIVE CORP$155M782,760
50AKAMAI TECHNOLOGIES INC$153M1,335,598
All filings on EDGAR ↗

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