Holdings of Asset Management One Co., Ltd.
840 declared positions · as of Mar 31, 2026
Original filing · Ten largest lines: 33.9 % of the equity sleeve
Sector breakdown
- Technology 25.5 %
- Financials 9.7 %
- Communication 8.5 %
- Consumer discretionary 8.1 %
- Health care 8.0 %
- Industrials 7.1 %
- Funds 6.9 %
- Consumer staples 4.4 %
- Real estate 4.2 %
- Energy 2.4 %
- Utilities 2.2 %
- Materials 1.3 %
- Unattributed 11.9 %
Titelia classification, company by company. The unattributed share stays visible.
Currency breakdown
The quoted currency of each line, as declared.
Country breakdown
- US 99.7 %
- TW 0.1 %
- IL 0.1 %
- KY 0.0 %
- IE 0.0 %
- SG 0.0 %
- IN 0.0 %
- HK 0.0 %
- CN 0.0 %
- MX 0.0 %
- GB 0.0 %
- PE 0.0 %
Shares computed on the equity sleeve.
| Rank | Country | Lines | Value | Share |
|---|
| 1 | US | 817 | 32.8B $ | 99.67 % |
| 2 | TW | 1 | 49.3M $ | 0.15 % |
| 3 | IL | 2 | 19.5M $ | 0.06 % |
| 4 | KY | 5 | 12.6M $ | 0.04 % |
| 5 | IE | 1 | 5.5M $ | 0.02 % |
| 6 | SG | 1 | 4.7M $ | 0.01 % |
| 7 | IN | 1 | 3.7M $ | 0.01 % |
| 8 | HK | 1 | 3.4M $ | 0.01 % |
| 9 | CN | 2 | 2.5M $ | 0.01 % |
| 10 | MX | 2 | 2.5M $ | 0.01 % |
| 11 | GB | 2 | 1.6M $ | 0.00 % |
| 12 | PE | 1 | 886.5K $ | 0.00 % |
Positions
| Rank | Company | Shares | Value | Weight |
|---|
| 1 | iShares Core S&P 500 ETF | 3,225,810 | 2.1B $ | |
| 2 | NVIDIA Corp | 11,091,776 | 1.9B $ | |
| 3 | Apple Inc | 6,575,253 | 1.7B $ | |
| 4 | Microsoft Corp | 3,357,509 | 1.2B $ | |
| 5 | Amazon.com Inc | 4,593,969 | 956.8M $ | |
| 6 | Alphabet Inc | 2,767,516 | 795.8M $ | |
| 7 | Broadcom Inc | 2,166,535 | 670.6M $ | |
| 8 | Alphabet Inc | 2,262,250 | 648.9M $ | |
| 9 | Meta Platforms Inc | 1,071,885 | 613.3M $ | |
| 10 | Vanguard FTSE Europe ETF | 6,318,305 | 520.8M $ | |
| 11 | iShares Core MSCI Emerging Markets ETF | 7,184,416 | 501.1M $ | |
| 12 | Tesla Inc | 1,290,586 | 479.8M $ | |
| 13 | JPMorgan Chase & Co | 1,331,794 | 391.8M $ | |
| 14 | Eli Lilly & Co | 372,209 | 342.3M $ | |
| 15 | Exxon Mobil Corp | 1,950,672 | 331M $ | |
| 16 | Johnson & Johnson | 1,249,154 | 305.3M $ | |
| 17 | Berkshire Hathaway Inc | 592,393 | 283.9M $ | |
| 18 | Visa Inc | 910,219 | 275.1M $ | |
| 19 | Walmart Inc | 2,195,319 | 272.8M $ | |
| 20 | Welltower Inc | 1,299,958 | 257M $ | |
| 21 | Prologis Inc | 1,799,705 | 237.9M $ | |
| 22 | Caterpillar Inc | 319,517 | 226.4M $ | |
| 23 | Costco Wholesale Corp | 226,244 | 225.4M $ | |
| 24 | Goldman Sachs Group Inc/The | 246,250 | 208.3M $ | |
| 25 | Mastercard Inc | 404,082 | 201.9M $ | |
| 26 | Chevron Corp | 949,989 | 196.6M $ | |
| 27 | AbbVie Inc | 880,026 | 191.4M $ | |
| 28 | Netflix Inc | 1,963,293 | 188.8M $ | |
| 29 | Equinix Inc | 187,194 | 183.5M $ | |
| 30 | Home Depot Inc/The | 546,305 | 179.7M $ | |
| 31 | Merck & Co Inc | 1,441,306 | 173.4M $ | |
| 32 | Micron Technology Inc | 506,903 | 171.3M $ | |
| 33 | Coca-Cola Co/The | 2,184,279 | 166.1M $ | |
| 34 | Procter & Gamble Co/The | 1,149,469 | 166M $ | |
| 35 | Cisco Systems, Inc. | 2,080,156 | 161.4M $ | |
| 36 | Bank of America Corp | 3,297,664 | 160.8M $ | |
| 37 | Philip Morris International Inc. | 904,808 | 149.6M $ | |
| 38 | Advanced Micro Devices Inc | 734,439 | 149.4M $ | |
| 39 | Lam Research Corp | 668,713 | 142.9M $ | |
| 40 | iShares Broad USD Investment Grade Corporate Bond ETF | 2,767,024 | 141.8M $ | |
| 41 | Palantir Technologies Inc | 966,942 | 141.4M $ | |
| 42 | General Electric Co | 486,053 | 137.9M $ | |
| 43 | SPDR Gold MiniShares Trust | 1,486,595 | 137.8M $ | |
| 44 | UnitedHealth Group Inc | 494,649 | 133.8M $ | |
| 45 | McDonald's Corp. | 420,673 | 130.7M $ | |
| 46 | International Business Machines Corp. | 538,958 | 130.6M $ | |
| 47 | Amgen Inc | 342,749 | 120.6M $ | |
| 48 | GE Vernova Inc | 137,140 | 119.7M $ | |
| 49 | Applied Materials Inc | 339,841 | 116.2M $ | |
| 50 | RTX Corp | 596,558 | 115.1M $ | |
| 51 | Digital Realty Trust Inc | 638,267 | 115M $ | |
| 52 | Simon Property Group Inc | 600,575 | 112M $ | |
| 53 | Oracle Corp | 758,203 | 111.5M $ | |
| 54 | American Express Co | 368,418 | 111.4M $ | |
| 55 | Verizon Communications Inc | 2,213,771 | 111.1M $ | |
| 56 | iShares MBS ETF | 1,154,212 | 109.6M $ | |
| 57 | Realty Income Corp | 1,770,166 | 108.3M $ | |
| 58 | KLA Corp | 73,499 | 108.2M $ | |
| 59 | Citigroup Inc | 948,135 | 107.5M $ | |
| 60 | iShares MSCI Canada ETF | 1,927,768 | 105.6M $ | |
| 61 | PepsiCo Inc | 678,813 | 105.4M $ | |
| 62 | Wells Fargo & Co | 1,317,409 | 104.9M $ | |
| 63 | Morgan Stanley | 634,328 | 104.4M $ | |
| 64 | State Street SPDR Portfolio High Yield Bond ETF | 4,425,620 | 103.2M $ | |
| 65 | Gilead Sciences Inc | 735,649 | 102.5M $ | |
| 66 | Salesforce Inc | 546,124 | 101.9M $ | |
| 67 | AT&T Inc | 3,482,712 | 101M $ | |
| 68 | TJX Cos Inc/The | 631,935 | 100.9M $ | |
| 69 | Thermo Fisher Scientific Inc | 203,719 | 100.1M $ | |
| 70 | NextEra Energy Inc | 1,075,632 | 99.9M $ | |
| 71 | Intuitive Surgical Inc | 196,215 | 90.5M $ | |
| 72 | Intel Corp | 2,015,023 | 88.9M $ | |
| 73 | Honeywell International Inc | 381,770 | 86.3M $ | |
| 74 | Abbott Laboratories | 840,037 | 86.2M $ | |
| 75 | Boeing Co/The | 432,475 | 86.1M $ | |
| 76 | VanEck J. P. Morgan EM Local Currency Bond ETF | 3,343,295 | 84M $ | |
| 77 | Walt Disney Co/The | 864,303 | 83.3M $ | |
| 78 | iShares MSCI Pacific ex Japan ETF | 1,519,576 | 80.8M $ | |
| 79 | Texas Instruments Inc | 414,532 | 80.5M $ | |
| 80 | Public Storage | 295,400 | 80M $ | |
| 81 | ConocoPhillips | 565,253 | 74.6M $ | |
| 82 | Ventas Inc | 904,509 | 74M $ | |
| 83 | Arista Networks Inc | 597,416 | 73.4M $ | |
| 84 | Amphenol Corp | 580,115 | 73.3M $ | |
| 85 | Pfizer Inc | 2,590,740 | 72.7M $ | |
| 86 | Sherwin-Williams Co/The | 224,444 | 71.9M $ | |
| 87 | Analog Devices Inc | 220,647 | 70.2M $ | |
| 88 | Charles Schwab Corp/The | 729,703 | 68.6M $ | |
| 89 | Newmont Corp | 631,755 | 68.4M $ | |
| 90 | Deere & Co | 121,139 | 68.2M $ | |
| 91 | Palo Alto Networks Inc | 421,551 | 67.6M $ | |
| 92 | Ishares Gold Trust Micro | 1,427,692 | 66.7M $ | |
| 93 | Uber Technologies Inc | 919,810 | 66.2M $ | |
| 94 | Booking Holdings Inc | 15,284 | 64.4M $ | |
| 95 | Vertex Pharmaceuticals Inc | 141,949 | 63.4M $ | |
| 96 | S&P Global Inc | 148,985 | 63.4M $ | |
| 97 | QUALCOMM Inc | 480,333 | 61.9M $ | |
| 98 | Blackrock Inc | 62,672 | 60.3M $ | |
| 99 | Union Pacific Corp | 247,555 | 60.1M $ | |
| 100 | Travelers Cos Inc/The | 195,058 | 56.9M $ | |