Filer Name: RESONA ASSET MANAGEMENT CO.,LTD.
CIK: 1944142
Period: 2024-12-31
Filed At: 2025-02-13
Number of Holdings: 821
Portfolio Value: $16.90B

Resona Asset Management Co.,Ltd. Top Holdings

Ticker Exchange Security Shares Value % of Portfolio Position Change Put/Call
AAPL US APPLE INC 4,447,592 $1,117M 6.61% - -
NVDA US NVIDIA CORP 7,867,025 $1,060M 6.27% - -
MSFT US MICROSOFT CORP 2,174,415 $919M 5.44% - -
AMZN US AMAZON.COM INC 2,952,074 $650M 3.84% - -
META US META PLATFORMS INC-CLASS A 647,406 $380M 2.25% - -
TSLA US TESLA INC 877,703 $358M 2.12% - -
GOOGL US ALPHABET INC-CL A 1,794,396 $341M 2.01% - -
AVGO US BROADCOM INC 1,313,602 $307M 1.81% - -
GOOG US ALPHABET INC-CL C 1,536,791 $293M 1.74% - -
V US VISA INC-CLASS A SHARES 675,837 $214M 1.27% - -
JPM US JPMORGAN CHASE & CO 854,807 $205M 1.21% - -
LLY US ELI LILLY & CO 248,756 $192M 1.14% - -
BRK/B US BERKSHIRE HATHAWAY INC-CL B 399,632 $181M 1.07% - -
COST US COSTCO WHOLESALE CORP 167,919 $154M 0.91% - -
XOM US EXXON MOBIL CORP 1,352,317 $145M 0.86% - -
UNH US UNITEDHEALTH GROUP INC 284,181 $144M 0.85% - -
MA US MASTERCARD INC - A 257,291 $136M 0.80% - -
PG US PROCTER & GAMBLE CO/THE 787,839 $132M 0.78% - -
WMT US WALMART INC 1,435,868 $130M 0.77% - -
HD US HOME DEPOT INC 299,690 $117M 0.69% - -
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