Universe · entity

Swiss Life Asset Management Ltd

Institutional manager (13F) · CIK 1637689
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $12.4B
#IssuerValueShares
1NVIDIA CORPORATION$1.6B9,628,790
2APPLE INC$1.1B4,275,270
3MICROSOFT CORP$1.0B2,734,420
4ALPHABET INC$673M2,338,652
5AMAZON COM INC$501M2,406,828
6ALPHABET INC$492M1,714,237
7META PLATFORMS INC$446M778,712
8BROADCOM INC$404M1,306,466
9TESLA INC$345M929,335
10VERIZON COMMUNICATIONS INC$319M6,350,846
11ELI LILLY & CO$311M338,419
12JOHNSON & JOHNSON$305M1,272,541
13ALTRIA GROUP INC$270M4,085,192
14PFIZER INC$206M7,332,947
15VISA INC$199M657,473
16CME GROUP INC$175M642,030
17LAM RESEARCH CORP$168M787,272
18MERCK & CO INC$166M1,381,851
19CHEVRON CORPORATION$159M806,225
20JPMORGAN CHASE & CO$155M528,170
21NETFLIX INC.$155M1,512,285
22MASTERCARD INCORPORATED$148M327,791
23ABBVIE INC$147M677,469
24EXXON MOBIL CORP$145M855,811
25ONEOK INC NEW$143M1,579,670
26WALMART INC$138M1,106,544
27CATERPILLAR INC$135M190,983
28MORGAN STANLEY$132M804,732
29CISCO SYS INC$131M1,686,371
30PROCTER & GAMBLE CO$124M797,860
31HOME DEPOT INC$118M359,086
32TEXAS INSTRS INC$114M584,679
33BLACKROCK INC$111M115,643
34COSTCO WHOLESALE CORPORATION$111M131,275
35INTERNATIONAL BUSINESS MACHS$107M456,810
36UNITED PARCEL SVCS INC$106M1,075,495
37PALANTIR TECHNOLOGIES INC$105M716,916
38BLACKSTONE INC$104M904,014
39GE AEROSPACE$104M364,862
40APPLIED MATLS INC$100M294,010
41UNITEDHEALTH GROUP INC$100M370,176
42MICRON TECHNOLOGY INC$100M486,688
43COCA COLA CO$100M1,310,231
44ADVANCED MICRO DEVICES INC$94M463,627
45BERKSHIRE HATHAWAY INC DEL$92M191,204
46KLA CORP$92M62,211
47PAYCHEX INC$90M975,247
48AUTOMATIC DATA PROCESSING IN$89M436,231
49GE VERNOVA INC$87M99,928
50SCHWAB CHARLES CORP$83M623,162
All filings on EDGAR ↗

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