Livforsakringsbolaget Skandia, Omsesidigt Q1 2025 Filing

Filed April 15, 2025

Portfolio Value

$1.8B

Holdings

569

Report Date

Q1 2025

Filing Type

13F-HR

All Holdings (569 positions)

StockValue
SCHWSchwab (charles) corp
$893K
ANAutonation inc
$890K
BLDTopbuild corp
$884K
DEDeere & co
$871K
ADPAutomatic data processing
$843K
MRSHMarsh & mclennan cos
$814K
PLDPrologis inc
$808K
MATMattel inc
$806K
SBUXStarbucks corp
$796K
AEOAmerican eagle outfitters
$767K
BXBlackstone inc
$749K
INTCIntel corp
$749K
SHOOSteven madden ltd
$747K
CMECme group inc
$747K
MUMicron technology inc
$743K
AMTAmerican tower corp
$717K
WMWaste management inc
$711K
MLB1Mercadolibre inc
$710K
WMBWilliams cos inc
$694K
ICEIntercontinental exchange in
$690K
ADIAnalog devices inc
$679K
AFLAflac inc
$677K
ANFAbercrombie & fitch co-cl a
$672K
MSIMotorola solutions inc
$672K
CVSCvs health corp
$670K
CRWDCrowdstrike holdings inc - a
$662K
CITCintas corp
$649K
AJGArthur j gallagher & co
$624K
AVBAvalonbay communities inc
$619K
ANETArista networks inc
$613K
CLColgate-palmolive co
$613K
AWCAmerican water works co inc
$608K
BFHBread financial holdings inc
$606K
SHWSherwin-williams co/the
$598K
MCOMoody's corp
$596K
PPCPilgrim's pride corp
$589K
GEVGe vernova inc
$588K
NKENike inc -cl b
$587K
PEOExelon corp
$578K
UPSUnited parcel service-cl b
$576K
BDXBecton dickinson and co
$565K
SFMSprouts farmers market inc
$564K
APHAmphenol corp-cl a
$562K
MMM3m co
$556K
FTNTFortinet inc
$550K
APDAir products & chemicals inc
$549K
KKRKkr & co inc
$540K
COFCapital one financial corp
$525K
CSXCsx corp
$521K
PHParker hannifin corp
$520K
CDNSCadence design sys inc
$518K
METMetlife inc
$510K
LNGCheniere energy inc
$506K
PSNYPolestar automotive-cl a ads
$504K
CMGChipotle mexican grill inc
$502K
EQIXEquinix inc
$502K
PNCPnc financial services group
$494K
MDLZMondelez international inc-a
$487K
RSGRepublic services inc
$485K
ECLEcolab inc
$469K
BKBank of new york mellon corp
$468K
WABWabtec corp
$460K
EOGEog resources inc
$459K
HUBBHubbell inc
$456K
NSCNorfolk southern corp
$454K
EDConsolidated edison inc
$451K
USBUs bancorp
$444K
HLTHilton worldwide holdings in
$442K
ROPRoper technologies inc
$439K
CEGConstellation energy
$439K
MARMarriott international -cl a
$438K
ITWIllinois tool works
$438K
AIGAmerican international group
$435K
DASHDoordash inc - a
$434K
OKEOneok inc
$428K
SPGSimon property group inc
$424K
APPApplovin corp-class a
$423K
TRVTravelers cos inc/the
$418K
ZTSZoetis inc
$416K
EMREmerson electric co
$415K
MRVLMarvell technology inc
$412K
MSCIMsci inc
$408K
MAAMid-america apartment comm
$406K
FQIDigital realty trust inc
$399K
KVUEKenvue inc
$399K
PRUPrudential financial inc
$388K
BKRBaker hughes co
$388K
VRTVertiv holdings co-a
$384K
NEMNewmont corp
$382K
CARRCarrier global corp
$376K
EWEdwards lifesciences corp
$372K
WDAYWorkday inc-class a
$371K
DYHTarget corp
$366K
CBRECbre group inc - a
$365K
7HPHp inc
$361K
TFCTruist financial corp
$361K
NINisource inc
$361K
FISFidelity national info serv
$353K
CPRTCopart inc
$353K
PG4Principal financial group
$353K
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