Filer Name: AMUNDI
CIK: 1330387
Period: 2024-12-31
Filed At: 2025-02-07
Number of Holdings: 2,143
Portfolio Value: $287.59B

Amundi Top Holdings

Ticker Exchange Security Shares Value % of Portfolio Position Change Put/Call
NVDA US NVIDIA CORP 117,036,612 $16,394M 5.70% 12.9% -
MSFT US MICROSOFT CORP 35,120,465 $14,908M 5.18% 11.6% -
AAPL US APPLE INC 53,539,248 $13,000M 4.52% 0.4% -
AMZN US AMAZON.COM INC 48,069,760 $10,675M 3.71% -3.1% -
GOOGL US ALPHABET INC-CL A 29,866,698 $5,792M 2.01% 18.7% -
TSLA US TESLA INC 12,957,272 $5,117M 1.78% 1.2% -
GOOG US ALPHABET INC-CL C 22,136,132 $4,322M 1.50% -3.9% -
META US META PLATFORMS INC-CLASS A 6,262,991 $3,825M 1.33% 14.6% -
LLY US ELI LILLY & CO 4,388,821 $3,454M 1.20% -3.3% -
UNH US UNITEDHEALTH GROUP INC 6,069,100 $3,183M 1.11% 97.2% -
HD US HOME DEPOT INC 7,554,880 $2,925M 1.02% 8.6% -
AVGO US BROADCOM INC 11,642,373 $2,670M 0.93% 1.8% -
V US VISA INC-CLASS A SHARES 8,281,535 $2,589M 0.90% 14.8% -
XOM US EXXON MOBIL CORP 24,056,156 $2,572M 0.89% -3.9% -
MA US MASTERCARD INC - A 4,899,438 $2,533M 0.88% 13.1% -
QCOM US QUALCOMM INC 14,579,529 $2,314M 0.80% 36.6% -
COST US COSTCO WHOLESALE CORP 2,299,535 $2,133M 0.74% 11.2% -
BRK/B US BERKSHIRE HATHAWAY INC-CL B 4,586,667 $2,072M 0.72% -8.3% -
ORCL US ORACLE CORP 12,327,164 $2,013M 0.70% 15.2% -
AMD US ADVANCED MICRO DEVICES 16,504,946 $2,011M 0.70% -12.3% -
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