Universe · entity

MIZUHO MARKETS AMERICAS LLC

Institutional manager (13F) · CIK 1825516
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $3.1B
#IssuerValueShares
1STATE STR SPDR S&P 500 ETF T$293M451,094
2ISHARES TR$163M249,220
3FEDEX CORP$159M447,067
4HONEYWELL INTL INC$158M698,500
5ENTERGY CORP NEW$157M1,394,400
6FIDELITY NATL INFORMATION SV$112M2,378,011
7VICI PPTYS INC$108M3,966,900
8MICROSOFT CORP$104M280,993
9CENCORA INC$90M287,900
10HALOZYME THERAPEUTICS INC$86M1,323,544
11EXELON CORP$81M1,655,400
12NISOURCE INC$77M1,651,000
13ROCKET LAB CORP$76M1,179,373
14ANALOG DEVICES INC$70M220,726
15TESLA INC$69M185,000
16XCEL ENERGY INC$64M805,100
17RIOT PLATFORMS INC$63M5,059,658
18ENERGY TRANSFER L P$62M3,200,000
19ZOETIS INC$62M522,350
20AVIS BUDGET GROUP INC$58M400,000
21ALPHABET INC$58M200,630
22KLA CORP$55M37,253
23NEXTERA ENERGY INC$55M588,283
24DEXCOM INC$50M800,000
25NVIDIA CORPORATION$50M284,196
26CAESARS ENTERTAINMENT INC NE$42M1,600,000
27BWX TECHNOLOGIES INC$40M197,659
28IREN LIMITED$38M1,103,528
29KENVUE INC$37M2,123,921
30BANK AMERICA CORP$36M728,500
31NORWEGIAN CRUISE LINE HLDGS$33M1,785,000
32DOLLAR TREE INC$33M300,000
33NEOGEN CORP$33M3,500,000
34META PLATFORMS INC$32M55,401
35ALPHABET INC$31M108,635
36LAM RESEARCH CORP$29M135,661
37AMAZON COM INC$26M126,000
38SOFI TECHNOLOGIES INC$24M1,498,798
39CISCO SYS INC$23M295,000
40CHECK POINT SOFTWARE TECH LT$23M158,900
41DARDEN RESTAURANTS INC$22M110,487
42CORNING INC$21M151,000
43UNITEDHEALTH GROUP INC$20M75,000
44SYNOPSYS INC$20M50,902
45SUPER MICRO COMPUTER INC$19M847,373
46NETFLIX INC.$19M200,000
47MICRON TECHNOLOGY INC$19M56,897
48WELLS FARGO & CO$19M240,000
49PATRIA INVESTMENTS LIMITED$19M1,500,000
50COINBASE GLOBAL INC$19M106,000
All filings on EDGAR ↗

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