Livforsakringsbolaget Skandia, Omsesidigt Q3 2022 Filing

Filed November 14, 2022

Portfolio Value

$809.7M

Holdings

584

Report Date

Q3 2022

Filing Type

13F-HR

All Holdings (584 positions)

StockValue
TRMBTrimble inc
$491K
CSXCsx corp
$490K
HN9Hanesbrands inc
$489K
BCCBoise cascade co
$488K
TERTeradyne inc
$488K
EFXEquifax inc
$486K
OCOwens corning
$483K
FWRDUSDForward air corp
$478K
MCBMetropolitan bank holding co
$476K
ALLYAlly financial inc
$468K
UNVREURUnivar solutions inc
$466K
BLDRBuilders firstsource inc
$459K
WRKUSDWestrock co
$456K
MRO*Marathon oil corp
$456K
MLKNMillerknoll inc
$453K
BRK/BBerkshire hathaway inc-cl b
$448K
OLNOlin corp
$441K
DHRB&g foods inc
$437K
MUSAMurphy usa inc
$429K
DOVDover corp
$418K
BIGGQBig lots inc
$409K
CRLCharles river laboratories
$407K
MERCMercer international inc
$406K
HCQAmn healthcare services inc
$371K
FISFidelity national info serv
$366K
IMXIInternational money express
$362K
CUBICustomers bancorp inc
$357K
OGNOrganon & co
$293K
MSIMotorola solutions inc
$291K
MPWRMonolithic power systems inc
$273K
SNDRSchneider national inc-cl b
$272K
CNCCentene corp
$250K
BWABorgwarner inc
$249K
ZBRAZebra technologies corp-cl a
$249K
YETIYeti holdings inc
$248K
ASIXAdvansix inc
$246K
COSTCostco wholesale corp
$244K
GDDYGodaddy inc - class a
$230K
DISWalt disney co/the
$228K
PAYXPaychex inc
$225K
ADEAAdeia inc
$210K
NEENextera energy inc
$209K
KBHKb home
$202K
FDO.FMacy's inc
$201K
HUBBHubbell inc
$201K
NBIXNeurocrine biosciences inc
$201K
BHFBrighthouse financial inc
$165K
BXCBluelinx holdings inc
$155K
RYIRyerson holding corp
$154K
IBMIntl business machines corp
$144K
ADPAutomatic data processing
$138K
NFLXNetflix inc
$133K
INTCIntel corp
$131K
SCHWSchwab (charles) corp
$127K
SPGIS&p global inc
$126K
AMTAmerican tower corp
$125K
CCChemours co/the
$124K
BLKCHFBlackrock inc
$123K
TGNATegna inc
$120K
DEDeere & co
$114K
AXPAmerican express co
$113K
TMUST-mobile us inc
$112K
ETSYEtsy inc
$110K
PLDPrologis inc
$109K
MRSHMarsh & mclennan cos
$106K
SBUXStarbucks corp
$105K
APDAir products & chemicals inc
$103K
AFLAflac inc
$102K
WMWaste management inc
$101K
CLColgate-palmolive co
$100K
PANWPalo alto networks inc
$98K
NOWServicenow inc
$97K
TJXTjx companies inc
$95K
HUMHumana inc
$94K
TRVCCitigroup inc
$94K
NSCNorfolk southern corp
$94K
RRyder system inc
$91K
ISRGIntuitive surgical inc
$90K
GFFGriffon corp
$89K
SRESempra energy
$85K
EQIXEquinix inc
$85K
GEGeneral electric co
$85K
CATCaterpillar inc
$84K
MLB1Mercadolibre inc
$83K
PRUPrudential financial inc
$82K
CMECme group inc
$81K
BDXBecton dickinson and co
$80K
AWCAmerican water works co inc
$80K
EWEdwards lifesciences corp
$78K
MCOMoody's corp
$78K
TFCTruist financial corp
$78K
OXYOccidental petroleum corp
$76K
MDLZMondelez international inc-a
$75K
ESEversource energy
$74K
PGRProgressive corp
$73K
ITWIllinois tool works
$69K
AVBAvalonbay communities inc
$69K
PNCPnc financial services group
$68K
8CWCrown castle inc
$67K
CDNSCadence design sys inc
$65K
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