Livforsakringsbolaget Skandia, Omsesidigt Q3 2025 Filing

Filed November 18, 2025

Portfolio Value

$2.6B

Holdings

508

Report Date

Q3 2025

Filing Type

13F-HR

All Holdings (508 positions)

StockValue
MATRalph lauren corp
$4.6M
VIRTVirtu financial inc-class a
$4.5M
FTDRFrontdoor inc
$4.5M
NXTNextracker inc-cl a
$4.4M
TOLToll brothers inc
$4.3M
CMCSAComcast corp-class a
$4.3M
LRNStride inc
$4.3M
CBRECbre group inc - a
$4.3M
ATMUAtmus filtration technologie
$4.2M
GFFGriffon corp
$4.1M
DALDelta air lines inc
$4.1M
ALSNAllison transmission holding
$4.0M
THCTenet healthcare corp
$3.8M
TMHCTaylor morrison home corp
$3.7M
PWRQuanta services inc
$3.6M
QLYSQualys inc
$3.5M
BB4Axos financial inc
$3.4M
HTDExlservice holdings inc
$3.3M
FCFSFirstcash holdings inc
$3.3M
VCTRVictory capital holding - a
$3.3M
VRTVertiv holdings co-a
$3.3M
LAURPrimerica inc
$3.2M
MTGMgic investment corp
$3.2M
EX9Exelixis inc
$3.2M
DECKDeckers outdoor corp
$3.2M
FUTUFutu holdings ltd-adr
$3.2M
AMDAdvanced micro devices
$3.2M
OPCHOption care health inc
$3.1M
GWWWw grainger inc
$3.1M
GPORGulfport energy corp
$3.1M
ANETArista networks inc
$3.1M
WFCWells fargo & co
$3.1M
CNMCore & main inc-class a
$3.0M
WEAWestern alliance bancorp
$3.0M
CIThe cigna group
$2.9M
OZKBank ozk
$2.9M
OSISOsi systems inc
$2.9M
EX9Enova international inc
$2.8M
NMIHNmi holdings inc
$2.8M
NTNXPalantir technologies inc-a
$2.8M
ACMAecom
$2.7M
PLTRPalantir technologies inc-a
$2.7M
TBBKBancorp inc/the
$2.7M
KEYSKeysight technologies in
$2.6M
URBNValmont industries
$2.6M
07WAStryker corp
$2.6M
APHAmphenol corp-cl a
$2.6M
CXTCrane nxt co
$2.5M
EATBrinker international inc
$2.5M
MMM3m co
$2.5M
NTRAO'reilly automotive inc
$2.5M
INGRIngredion inc
$2.4M
GPIGroup 1 automotive inc
$2.3M
UNHUnitedhealth group inc
$2.3M
GEGeneral electric
$2.2M
OPRAOpera ltd-adr
$2.1M
SLGNSilgan holdings inc
$2.1M
KBHKb home
$2.1M
DOCUDocusign inc
$2.0M
IBPInstalled building products
$2.0M
ANAutonation inc
$2.0M
CROXCrocs inc
$1.9M
IBMIntl business machines corp
$1.9M
SNPSSynopsys inc
$1.8M
CSLCarlisle cos inc
$1.8M
GPKGraphic packaging holding co
$1.8M
ACTEnact holdings inc
$1.8M
MRKMerck & co. inc.
$1.6M
ABNBAirbnb inc-class a
$1.6M
DISWalt disney co/the
$1.5M
SFMSprouts farmers market inc
$1.5M
TAt&t inc
$1.5M
HRMYHarmony biosciences holdings
$1.4M
TRVCCitigroup inc
$1.4M
BACVerizon communications inc
$1.4M
TMOThermo fisher scientific inc
$1.4M
NOWServicenow inc
$1.4M
GLKontoor brands inc
$1.4M
MUMicron technology inc
$1.4M
BKNGBooking holdings inc
$1.3M
AXPAmerican express co
$1.3M
ISRGIntuitive surgical inc
$1.2M
TXNTexas instruments inc
$1.2M
GEVGe vernova inc
$1.2M
SPGIS&p global inc
$1.2M
BLKBlackrock inc
$1.2M
APPApplovin corp-class a
$1.1M
LOWLowe's cos inc
$1.1M
BSXBoston scientific corp
$1.1M
NEENextera energy inc
$1.1M
PFEPfizer inc
$1.1M
ADBEAdobe inc
$1.1M
SNDKTjx companies inc
$1.1M
RDDTSchwab (charles) corp
$1.1M
COFCapital one financial corp
$1.1M
UNPUnion pacific corp
$1.1M
INTCIntel corp
$1.1M
PANWPalo alto networks inc
$1.1M
DHRDanaher corp
$1.1M
WELLWelltower inc
$1.0M
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