Entity | Amount | Change
09/30/2023 to 12/31/2023 |
Position Size ($ in 1000's) |
---|---|---|---|
Apple Inc | 1,659,157 | -175,229 | $319,437 |
AAPL | 1,659,157 | -175,229 | $319,437 |
Microsoft Corp | 745,959 | -61,836 | $280,510 |
MSFT | 745,959 | -61,836 | $280,510 |
Amazoncom Inc | 895,988 | -32,940 | $136,136 |
AMZN | 895,988 | -32,940 | $136,136 |
Alphabet Inc | 811,783 | -92,609 | $113,398 |
GOOGL | 811,783 | -92,609 | $113,398 |
NVIDIA Corp | 214,802 | -7,037 | $106,374 |
NVDA | 214,802 | -7,037 | $106,374 |
Meta Platforms Inc | 212,299 | -23,612 | $75,145 |
META | 212,299 | -23,612 | $75,145 |
Alphabet Inc | 421,205 | -21,605 | $59,361 |
GOOG | 421,205 | -21,605 | $59,361 |
KLA Tencor Corp | 101,375 | -9,960 | $58,930 |
KLAC | 101,375 | -9,960 | $58,930 |
Broadcom Inc | 51,517 | -4,887 | $57,506 |
AVGO | 51,517 | -4,887 | $57,506 |
Trane Technologies plc | 217,693 | -23,238 | $53,095 |
TT | 217,693 | -23,238 | $53,095 |
Palo Alto Networks Inc | 178,162 | -31,821 | $52,536 |
PANW | 178,162 | -31,821 | $52,536 |
UnitedHealth Group Inc | 98,438 | -18,107 | $51,825 |
UNH | 98,438 | -18,107 | $51,825 |
Autodesk Inc | 203,160 | -5,775 | $49,465 |
ADSK | 203,160 | -5,775 | $49,465 |
Workday Inc | 178,373 | -11,044 | $49,242 |
WDAY | 178,373 | -11,044 | $49,242 |
Exxon Mobil Corp | 488,048 | -90,017 | $48,795 |
XOM | 488,048 | -90,017 | $48,795 |
Visa Inc | 184,786 | +15,757 | $48,109 |
V | 184,786 | +15,757 | $48,109 |
Mettler Toledo International I | 37,681 | +2,270 | $45,706 |
MTD | 37,681 | +2,270 | $45,706 |
Wal Mart Stores Inc | 280,132 | -34,064 | $44,163 |
WMT | 280,132 | -34,064 | $44,163 |
Home Depot Inc | 124,664 | -8,905 | $43,203 |
HD | 124,664 | -8,905 | $43,203 |
Eli Lilly & Co | 71,998 | -5,551 | $41,969 |
LLY | 71,998 | -5,551 | $41,969 |
AbbVie Inc | 269,851 | -16,009 | $41,819 |
ABBV | 269,851 | -16,009 | $41,819 |
JPMorgan Chase & Co | 242,540 | -5,147 | $41,256 |
JPM | 242,540 | -5,147 | $41,256 |
Merck & Co Inc | 368,099 | -47,998 | $40,130 |
MRK | 368,099 | -47,998 | $40,130 |
HubSpot Inc | 68,812 | +62,483 | $39,949 |
HUBS | 68,812 | +62,483 | $39,949 |
Cisco Systems Inc | 788,955 | -113,190 | $39,858 |
CSCO | 788,955 | -113,190 | $39,858 |
Accenture PLC | 107,355 | -9,171 | $37,672 |
ACN | 107,355 | -9,171 | $37,672 |
Adobe Systems Inc | 62,404 | -6,695 | $37,230 |
ADBE | 62,404 | -6,695 | $37,230 |
Procter & Gamble Co | 239,291 | +8,800 | $35,066 |
PG | 239,291 | +8,800 | $35,066 |
Lennox International Inc | 74,978 | +161 | $33,554 |
LII | 74,978 | +161 | $33,554 |
Johnson & Johnson | 204,993 | -33,790 | $32,131 |
JNJ | 204,993 | -33,790 | $32,131 |
Mastercard Inc | 71,618 | -2,330 | $30,546 |
MA | 71,618 | -2,330 | $30,546 |
Comcast Corp | 679,248 | +160,197 | $29,785 |
CMCSA | 679,248 | +160,197 | $29,785 |
Costco Wholesale Corp | 43,696 | -2,538 | $28,842 |
COST | 43,696 | -2,538 | $28,842 |
Berkshire Hathaway Inc | $27,134 | ||
BRK.B | 76,076 | -277 | $27,134 |
Gilead Sciences Inc | 333,595 | -74,953 | $27,024 |
GILD | 333,595 | -74,953 | $27,024 |
General Electric Co | 209,069 | -12,242 | $26,684 |
GE | 209,069 | -12,242 | $26,684 |
Booking Holdings Inc | 7,510 | +242 | $26,640 |
BKNG | 7,510 | +242 | $26,640 |
BlackRock Inc | 32,698 | -2,801 | $26,545 |
BLK | 32,698 | -2,801 | $26,545 |
McKesson Corp | 57,001 | -10,940 | $26,390 |
MCK | 57,001 | -10,940 | $26,390 |
PepsiCo Inc NC | 148,508 | -28,042 | $25,222 |
PEP | 148,508 | -28,042 | $25,222 |
CME Group Inc | 118,106 | +93,694 | $24,873 |
CME | 118,106 | +93,694 | $24,873 |
Intuit Inc | 38,084 | +7,976 | $23,804 |
INTU | 38,084 | +7,976 | $23,804 |
McDonald s Corp | 77,938 | -6,122 | $23,109 |
MCD | 77,938 | -6,122 | $23,109 |
Salesforce Inc | 87,214 | -2,203 | $22,949 |
CRM | 87,214 | -2,203 | $22,949 |
Advanced Drainage Systems Inc | 157,309 | +604 | $22,124 |
WMS | 157,309 | +604 | $22,124 |
Aflac Inc | 267,988 | -37,001 | $22,108 |
AFL | 267,988 | -37,001 | $22,108 |
Elastic NV | 196,126 | +196,126 | $22,103 |
ESTC | 196,126 | +196,126 | $22,103 |
Applied Materials Inc | 135,245 | -19,253 | $21,920 |
AMAT | 135,245 | -19,253 | $21,920 |
Manulife Financial Corp | 985,435 | -69,107 | $21,882 |
MFC | 985,435 | -69,107 | $21,882 |
Elevance Health Inc | 45,945 | -5,962 | $21,666 |
ELV | 45,945 | -5,962 | $21,666 |
See Full List: All Stocks Held By Achmea Investment Management B.V.
— Including:
Biggest new positions
Biggest exits
Biggest increased positions
Biggest decreased positions
See Details: Top 10 Stocks Held By Achmea Investment Management B.V.
Size ($ in 1000's)
At 12/31/2023: $4,843,198 At 09/30/2023: $4,580,885 Combined Holding Report Includes:
Achmea Investment Management B.V. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Achmea Investment Management B.V. 13F filings. Link to 13F filings: SEC filings |