Livforsakringsbolaget Skandia, Omsesidigt Q2 2024 Filing

Filed July 15, 2024

Portfolio Value

$1.2B

Holdings

564

Report Date

Q2 2024

Filing Type

13F-HR

All Holdings (564 positions)

StockValue
PEGAdvanced micro devices
$464K
LHAdobe inc
$463K
NBIXNeurocrine biosciences inc
$413K
VEEVVeeva systems inc-class a
$402K
HUBBHubbell inc
$374K
DHRDanaher corp
$348K
YETIYeti holdings inc
$331K
LBRTLiberty energy inc
$330K
GEVAbbott laboratories
$322K
DISWalt disney co/the
$322K
BACVerizon communications inc
$307K
CATCaterpillar inc
$292K
ISRGIntuitive surgical inc
$285K
UNPUnion pacific corp
$278K
PAYXPaychex inc
$277K
SPGIS&p global inc
$272K
IBMIntl business machines corp
$272K
MUMicron technology inc
$256K
NEENextera energy inc
$255K
LOWLowe's cos inc
$249K
AXPAmerican express co
$243K
EMEAt&t inc
$241K
TRVCCitigroup inc
$241K
UBERUber technologies inc
$241K
TPRTapestry inc
$240K
OVVOvintiv inc
$239K
INTCIntel corp
$232K
TJXTjx companies inc
$220K
DWDMorgan stanley
$210K
UPSUnited parcel service-cl b
$201K
MRSHMarsh & mclennan cos
$199K
SCHWSchwab (charles) corp
$194K
BLKCHFBlackrock inc
$183K
PLDPrologis inc
$182K
DEDeere & co
$182K
CITCintas corp
$180K
SBUXStarbucks corp
$176K
ADPAutomatic data processing
$175K
MDLZMondelez international inc-a
$174K
CMGChipotle mexican grill inc
$172K
MLB1Mercadolibre inc
$169K
IMXIInternational money express
$167K
CDNSCadence design sys inc
$161K
AMTAmerican tower corp
$161K
BXBlackstone inc
$159K
TMUST-mobile us inc
$157K
CMECme group inc
$151K
CSXCsx corp
$149K
BMYBristol-myers squibb co
$148K
GILDGilead sciences inc
$148K
CRWDCrowdstrike holdings inc - a
$145K
ICEIntercontinental exchange in
$145K
WMWaste management inc
$143K
KKRKkr & co inc
$143K
ITWIllinois tool works
$142K
EOGEog resources inc
$133K
ECLEcolab inc
$133K
CLColgate-palmolive co
$131K
MRVLMarvell technology inc
$128K
SHWSherwin-williams co/the
$125K
ZTSZoetis inc
$125K
DYHTarget corp
$124K
NSCNorfolk southern corp
$122K
AJGArthur j gallagher & co
$120K
PHParker hannifin corp
$120K
WELLWelltower inc
$119K
APHAmphenol corp-cl a
$118K
MCOMoody's corp
$118K
SOLVAirbnb inc-class a
$118K
DKNGAflac inc
$115K
COFCapital one financial corp
$114K
TFCTruist financial corp
$114K
EQIXEquinix inc
$113K
MARMarriott international -cl a
$112K
PNCPnc financial services group
$111K
KMBKimberly-clark corp
$111K
OKEOneok inc
$110K
CPRTCopart inc
$109K
BDXBecton dickinson and co
$109K
ADSKAutodesk inc
$107K
EMREmerson electric co
$107K
AWCAmerican water works co inc
$106K
USBUs bancorp
$105K
T7DTransdigm group inc
$102K
CDWCdw corp/de
$101K
PRUPrudential financial inc
$101K
IRIngersoll-rand inc
$100K
PLTRPalantir technologies inc-a
$98K
ROSTRoss stores inc
$98K
DC4Dexcom inc
$98K
WDAYWorkday inc-class a
$97K
AVBAvalonbay communities inc
$97K
HLTHilton worldwide holdings in
$97K
VRSKVerisk analytics inc
$97K
CEGConstellation energy
$96K
TRGPAir products & chemicals inc
$94K
7HPHp inc
$93K
TTDTrade desk inc/the -class a
$93K
CARRCarrier global corp
$93K
NEMNewmont corp
$93K
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