Universe · entity

Qtron Investments LLC

Institutional manager (13F) · CIK 1768099
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $399M
#IssuerValueShares
1NVIDIA CORPORATION$45M258,206
2APPLE INC$40M157,283
3MICROSOFT CORP$27M73,930
4AMAZON COM INC$22M104,032
5ISHARES TR$18M394,235
6ALPHABET INC$18M61,162
7ALPHABET INC$15M53,572
8TAIWAN SEMICONDUCTOR MANUFAC$15M45,325
9BROADCOM INC$15M48,523
10META PLATFORMS INC$14M23,776
11TESLA INC$11M29,701
12JPMORGAN CHASE & CO$9M31,775
13ELI LILLY & CO$8M8,536
14BERKSHIRE HATHAWAY INC DEL$7M13,876
15JOHNSON & JOHNSON$6M25,898
16ASML HLDG NV$6M4,745
17EXXON MOBIL CORP$6M36,175
18WALMART INC$6M46,310
19VISA INC$6M18,739
20COSTCO WHOLESALE CORPORATION$5M5,294
21MASTERCARD INCORPORATED$5M9,557
22NETFLIX INC.$4M46,257
23ABBVIE INC$4M20,070
24MICRON TECHNOLOGY INC$4M12,897
25BANK AMERICA CORP$4M86,064
26CATERPILLAR INC$4M5,757
27GE AEROSPACE$4M14,356
28LAM RESEARCH CORP$4M18,629
29COCA COLA CO$4M50,719
30PROCTER & GAMBLE CO$4M26,594
31CHEVRON CORPORATION$4M17,234
32WELLS FARGO & CO$3M43,419
33GOLDMAN SACHS GROUP INC$3M3,781
34CISCO SYS INC$3M40,933
35APPLIED MATLS INC$3M9,190
36HSBC HLDGS PLC$3M36,970
37ROYAL BK CDA$3M18,782
38KLA CORP$3M2,043
39ADVANCED MICRO DEVICES INC$3M14,597
40ASTRAZENECA PLC$3M14,990
41NEWMONT CORP$3M26,082
42HOME DEPOT INC$3M8,525
43TJX COS INC NEW$3M17,173
44MERCK & CO INC$3M22,233
45MORGAN STANLEY$3M16,107
46MITSUBISHI UFJ FINANCIAL GRO$3M154,238
47ORACLE CORP$3M17,513
48INTERNATIONAL BUSINESS MACHS$3M10,385
49GE VERNOVA INC$2M2,821
50GILEAD SCIENCES INC$2M17,241
All filings on EDGAR ↗

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