Universe · entity

Nan Shan Life Insurance Co., Ltd.

Institutional manager (13F) · CIK 1730464
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $2.5B
#IssuerValueShares
1ALPHABET INC$172M599,733
2COSTCO WHOLESALE CORPORATION$131M131,842
3APPLE INC$110M431,798
4VERIZON COMMUNICATIONS INC$105M2,088,591
5QUALCOMM INC$103M798,331
6MICROSOFT CORP$101M272,642
7EATON CORP PLC$98M275,247
8NVIDIA CORPORATION$90M514,681
9PFIZER INC$86M3,070,309
10META PLATFORMS INC$85M148,044
11INVESCO QQQ TR$78M135,377
12NETFLIX INC.$78M810,170
13VISA INC$68M225,986
14DISNEY WALT CO$61M630,489
15BRISTOL-MYERS SQUIBB CO$57M939,759
16VANECK ETF TRUST$54M586,380
17SERVICENOW INC$54M514,260
18AMAZON COM INC$49M237,255
19JPMORGAN CHASE & CO$48M164,353
20APTIV PLC$48M687,462
21BROADCOM INC$46M147,171
22EDWARDS LIFESCIENCES CORP$44M552,221
23VANGUARD INDEX FDS$41M68,445
24MARVELL TECHNOLOGY INC$39M390,369
25NIKE INC$36M685,946
26INTUITIVE SURGICAL INC$36M77,481
27FIRST TR EXCHANGE-TRADED FD$36M217,775
28BLOCK INC$33M552,700
29NEWMONT CORP$33M305,814
30ISHARES INC$32M456,506
31UNITEDHEALTH GROUP INC$32M117,643
32CME GROUP INC$30M102,540
33CVS HEALTH CORP$30M411,050
34SELECT SECTOR SPDR TR$29M195,277
35BANK AMERICA CORP$28M565,955
36WEST PHARMACEUTICAL SVSC INC$28M109,867
37SALESFORCE INC$26M137,794
38PROCTER & GAMBLE CO$25M172,826
39ISHARES TR$25M306,916
40UBER TECHNOLOGIES INC$25M341,325
41TEXAS INSTRS INC$23M117,201
42ON SEMICONDUCTOR CORP$22M360,013
43VANGUARD WORLD FD$21M105,964
44S&P GLOBAL INC$20M47,664
45BP PLC$20M416,772
46PAYPAL HLDGS INC$20M431,342
47KINDER MORGAN INC DEL$19M577,243
48ADOBE INC$19M76,765
49SPDR SERIES TRUST$18M138,611
50INTEL CORP$17M391,878
All filings on EDGAR ↗

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