HoldingsChannel.com
Asahi Life Asset Management CO. LTD. Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
APPLE INC 166,571 +13,221 $42,357
     AAPL166,571+13,221$42,357
UNITEDHEALTH GROUP INC 133,374 +7,071 $33,261
     UNH133,374+7,071$33,261
MICROSOFT CORP 200,030 +16,438 $31,547
     MSFT200,030+16,438$31,547
HOME DEPOT INC 131,174 +4,491 $24,491
     HD131,174+4,491$24,491
VISA INC 135,434 +3,521 $21,821
     V135,434+3,521$21,821
MCDONALDS CORP 131,804 +3,961 $21,794
     MCD131,804+3,961$21,794
BOEING CO 142,671 +7,891 $21,278
     BA142,671+7,891$21,278
GOLDMAN SACHS GROUP INC 128,234 +1,491 $19,824
     GS128,234+1,491$19,824
JOHNSON & JOHNSON 136,504 +511 $17,900
     JNJ136,504+511$17,900
3M CO 128,234 +4,281 $17,505
     MMM128,234+4,281$17,505
WALMART INC 134,104 +4,981 $15,237
     WMT134,104+4,981$15,237
PROCTER & GAMBLE CO 138,439 +5,481 $15,228
     PG138,439+5,481$15,228
CATERPILLAR INC DEL 128,234 +4,281 $14,880
     CAT128,234+4,281$14,880
INTERNATIONAL BUSINESS MACHS 129,074 -299 $14,318
     IBM129,074-299$14,318
DISNEY WALT CO 132,494 -49 $12,799
     DIS132,494-49$12,799
TRAVELERS COMPANIES INC COM 128,234 +4,281 $12,740
     TRV128,234+4,281$12,740
JPMORGAN CHASE & CO 139,744 +6,301 $12,581
     JPM139,744+6,301$12,581
UNITED TECHNOLOGIES CORP 131,664 +2,551 $12,420
     UTX131,664+2,551$12,420
NIKE INC 137,234 +5,131 $11,355
     NKE137,234+5,131$11,355
MERCK & CO. INC 143,084 +9,491 $11,009
     MRK143,084+9,491$11,009
AMERICAN EXPRESS CO 128,234 -629 $10,978
     AXP128,234-629$10,978
CHEVRON CORP NEW 139,034 +5,491 $10,074
     CVX139,034+5,491$10,074
VERIZON COMMUNICATIONS INC 151,373 +12,731 $8,133
     VZ151,373+12,731$8,133
ALPHABET INC 6,937 +934 $8,060
     GOOGL6,937+934$8,060
INTEL CORP 139,914 +5,311 $7,572
     INTC139,914+5,311$7,572
AMAZON COM INC 3,807 +686 $7,423
     AMZN3,807+686$7,423
FACEBOOK INC 43,687 +9,797 $7,287
     FB43,687+9,797$7,287
COCA COLA CO 144,884 +7,651 $6,411
     KO144,884+7,651$6,411
WALGREENS BOOTS ALLIANCE INC 138,134 +5,701 $6,320
     WBA138,134+5,701$6,320
EXXON MOBIL CORP 152,094 +8,241 $5,775
     XOM152,094+8,241$5,775
CISCO SYS INC 145,254 -1,829 $5,710
     CSCO145,254-1,829$5,710
PFIZER INC 162,824 +10,461 $5,315
     PFE162,824+10,461$5,315
BK OF AMERICA CORP 189,357 +44,710 $4,020
     BAC189,357+44,710$4,020
DOW INC 128,234 +4,281 $3,750
     DOW128,234+4,281$3,750
ALIBABA GROUP HLDG LTD 19,076 +7,329 $3,710
     BABA19,076+7,329$3,710
MCKESSON CORP 25,406 +4,099 $3,436
     MCK25,406+4,099$3,436
CITIGROUP INC 73,239 +17,724 $3,085
     C73,239+17,724$3,085
DELL TECHNOLOGIES INC 62,987 +23,827 $2,491
     DELL62,987+23,827$2,491
SOUTHWEST AIRLS CO 54,509 +23,240 $1,941
     LUV54,509+23,240$1,941
PHILLIPS 66 24,245 +6,333 $1,301
     PSX24,245+6,333$1,301
BRIGHTHOUSE FINL INC 45,774 +22,631 $1,106
     BHF45,774+22,631$1,106
PEPSICO INC 8,930 +5,870 $1,072
     PEP8,930+5,870$1,072
BERKSHIRE HATHAWAY INC DEL      $1,035
     BRK.B5,660+2,240$1,035
UNITED AIRLS HLDGS INC 30,278 +8,436 $955
     UAL30,278+8,436$955
COMCAST CORP NEW 27,410 +17,280 $942
     CMCSA27,410+17,280$942
ABBOTT LABS 11,630 +5,250 $918
     ABT11,630+5,250$918
AMGEN INC 4,465 +3,700 $905
     AMGN4,465+3,700$905
LILLY ELI & CO 6,190 +6,190 $859
     LLY6,190+6,190$859
BRISTOL MYERS SQUIBB CO 15,350 +1,020 $856
     BMY15,350+1,020$856
MEDTRONIC PLC 9,040 +6,910 $815
     MDT9,040+6,910$815

See Full List: All Stocks Held By Asahi Life Asset Management CO. LTD.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Asahi Life Asset Management CO. LTD.

Size ($ in 1000's)
At 03/31/2020: $557,259
At 12/31/2019: $678,569

Asahi Life Asset Management CO. LTD. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Asahi Life Asset Management CO. LTD. 13F filings. Link to 13F filings: SEC filings

Asahi Life Asset Management CO. LTD. Top Holdings 13F Filings | www.HoldingsChannel.com

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