Livforsakringsbolaget Skandia, Omsesidigt Q2 2025 Filing
Filed July 9, 2025
Portfolio Value
$2.3B
Holdings
528
Report Date
Q2 2025
Filing Type
13F-HR
All Holdings (528 positions)
| Stock | Value |
|---|---|
DEDeere & co | $943K |
ANFAbercrombie & fitch co-cl a | $886K |
APHAmphenol corp-cl a | $845K |
BFHBread financial holdings inc | $840K |
VRTXVertex pharmaceuticals inc | $837K |
ANETArista networks inc | $810K |
BXBlackstone inc | $802K |
ADIAnalog devices inc | $802K |
CMECme group inc | $776K |
BMYBristol-myers squibb co | $760K |
PLDPrologis inc | $759K |
SBUXStarbucks corp | $744K |
INTCIntel corp | $738K |
ICEIntercontinental exchange in | $733K |
AMTAmerican tower corp | $733K |
WMBWilliams cos inc | $729K |
MRSHMarsh & mclennan cos | $729K |
EXECintas corp | $703K |
CEGConstellation energy | $703K |
WMWaste management inc | $703K |
CVSCvs health corp | $681K |
T7DTransdigm group inc | $678K |
NKENike inc -cl b | $657K |
MSIMotorola solutions inc | $645K |
AFLAflac inc | $642K |
MCOMoody's corp | $642K |
NTRAO'reilly automotive inc | $639K |
AEOAmerican eagle outfitters | $635K |
CDNSCadence design sys inc | $627K |
KKRKkr & co inc | $621K |
PHParker hannifin corp | $597K |
CLColgate-palmolive co | $595K |
PYPLPaypal holdings inc | $589K |
AVBAvalonbay communities inc | $587K |
SHWSherwin-williams co/the | $587K |
DASHDoordash inc - a | $585K |
AJGArthur j gallagher & co | $578K |
CSXCsx corp | $577K |
MMM3m co | $576K |
AWCAmerican water works co inc | $574K |
ABGCencora inc | $562K |
CMGChipotle mexican grill inc | $562K |
APPApplovin corp-class a | $560K |
PEOExelon corp | $544K |
CVNACheniere energy inc | $532K |
WABWabtec corp | $531K |
UPSUnited parcel service-cl b | $528K |
APDAir products & chemicals inc | $525K |
PNCPnc financial services group | $524K |
SNOWSnowflake inc | $518K |
HLTHilton worldwide holdings in | $518K |
MRVLMarvell technology inc | $518K |
METMetlife inc | $511K |
BKBank of new york mellon corp | $509K |
EMREmerson electric co | $505K |
MARMarriott international -cl a | $503K |
ECLEcolab inc | $498K |
RSGRepublic services inc | $493K |
NSCNorfolk southern corp | $491K |
EQIXEquinix inc | $490K |
FQIDigital realty trust inc | $486K |
MIGAMicrostrategy inc-cl a | $485K |
MDLZMondelez international inc-a | $484K |
USBUs bancorp | $475K |
NEMNewmont corp | $461K |
REGNRegeneron pharmaceuticals | $457K |
NETCloudflare inc - class a | $449K |
ITWIllinois tool works | $436K |
CARRCarrier global corp | $434K |
AIGAmerican international group | $428K |
EOGEog resources inc | $428K |
BDXBecton dickinson and co | $425K |
TRVTravelers cos inc/the | $423K |
ROPRoper technologies inc | $422K |
MSCIMsci inc | $415K |
SPGSimon property group inc | $410K |
EDConsolidated edison inc | $409K |
VSTVistra corp | $407K |
EWEdwards lifesciences corp | $402K |
ZTSZoetis inc | $394K |
CBRECbre group inc - a | $392K |
RBLXRoblox corp -class a | $389K |
ORealty income corp | $385K |
FISFidelity national info serv | $384K |
HWMHowmet aerospace inc | $382K |
WDAYWorkday inc-class a | $381K |
TFCTruist financial corp | $377K |
URIUnited rentals inc | $374K |
PRUPrudential financial inc | $373K |
IRIngersoll-rand inc | $365K |
NINisource inc | $363K |
MAAMid-america apartment comm | $358K |
HOODRobinhood markets inc - a | $356K |
OKEOneok inc | $352K |
VRTVertiv holdings co-a | $349K |
KVUEKenvue inc | $348K |
DYHTarget corp | $346K |
GMGeneral motors co | $342K |
NDAQNasdaq inc | $342K |
SRESempra | $342K |