Universe · entity

Banco de Sabadell, S.A

Institutional manager (13F) · CIK 1730299
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $146k
#IssuerValueShares
1MICROSOFT CORP$7k18,794
2BROADCOM INC$7k22,571
3ALPHABET INC-CL A$7k23,804
4JP MORGAN CHASE$5k18,927
5APPLE INC$5k21,202
6COSTCO WHOLESALE CORPORATION$5k4,875
7BANK OF AMERICA CORP$5k102,819
8EATON CORP PLC$5k13,878
9MASTERCARD INC$4k8,231
10VALERO ENERGY CORP$4k15,724
11AMAZONCOM INC$4k19,199
12LILLY ELI AND CO$4k4,214
13CISCO SYSTEMS INC$4k47,449
14NEXTERA ENERGY INC$4k38,963
15JOHNSON AND JOHNSON$4k14,554
16NVIDIA CORP$3k19,674
17ANALOG DEVICES INC$3k10,693
18WISDOMTREE US QUALITY DV GRWTH$3k37,481
19CHEVRON CORP$3k15,051
20BLACKROCK INC$3k3,337
21COCA COLA CO$3k40,404
22TJX COMPANIES INC$3k19,675
23ASML HOLDING NV$3k2,383
24ISHARES DJ SELECT DIVIDEND INDEX$3k18,560
25META PLATFORMS INC$3k5,068
26MCDONALDS CORP$3k8,781
27WALMART INC$3k21,646
28ISHARES MSCI EUROPE FINANCIALS-ETF$3k75,728
29US BANCORP$2k49,144
30AMGEN INC$2k6,804
31CME GROUP INC$2k7,854
32THERMO FISHER SCIENTIFIC INC$2k4,631
33ACCENTURE PLC - CL A$2k10,752
34CSX CORP$2k53,268
35HOME DEPOT INC$2k6,479
36AIR PRODUCTS AND CHEMICALS INC$2k6,958
37STRYKER CORP$2k5,769
38TEXAS INSTRUMENTS$2k9,997
39MEDTRONIC PLC$2k20,865
40UNION PACIFIC CORPORATION$2k7,318
41MERCK AND CO INC$1k12,045
42SAP AG-SPONS ADR$1k8,103
43QUALCOMM INC$1k9,777
44STARBUCKS CORP$1k14,133
45GENERAL ELECTRIC CO$1k4,383
46NVENT ELECTRIC PLC$1k9,781
47SHELL PLC- ADR$1k10,835
48EQUINOR ASA NPV - ADR$1k23,748
49SANOFI-AVENTIS-ADR$95920,555
50TE CONNECTIVITY PLC$9304,679
All filings on EDGAR ↗

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