HoldingsChannel.com
Asset Management One Co. Ltd. Top Holdings
As of  06/30/2022, below is a summary of the Asset Management One Co. Ltd. top holdings by largest position size, as per the latest 13f filing made by Asset Management One Co. Ltd.. In the Asset Management One Co. Ltd.-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares held by Asset Management One Co. Ltd. in that top holding, then the share count change between reporting periods, and finally the Asset Management One Co. Ltd. top holding position size for that row.

   EntityAmountChange
 03/31/2022 to 06/30/2022
Position Size
($ in 1000's)
ISHARES TR (IVV) 3,149,533 -4,020 $1,194,145
     IVV3,149,533-4,020$1,194,145
APPLE INC 7,276,655 -82,658 $994,864
     AAPL7,276,655-82,658$994,864
MICROSOFT CORP 3,251,150 -61,140 $834,992
     MSFT3,251,150-61,140$834,992
AMAZON COM INC 4,152,885 +3,941,519 $441,077
     AMZN4,152,885+3,941,519$441,077
VANGUARD INTL EQUITY INDEX F (VGK) 7,709,574 -29,812 $407,219
     VGK7,709,574-29,812$407,219
ISHARES INC (IEMG) 8,091,734 -42,388 $396,980
     IEMG8,091,734-42,388$396,980
ALPHABET INC 139,871 -1,179 $304,815
     GOOGL139,871-1,179$304,815
ALPHABET INC 126,401 -3,471 $276,495
     GOOG126,401-3,471$276,495
JOHNSON & JOHNSON 1,415,635 +9,015 $251,289
     JNJ1,415,635+9,015$251,289
TESLA INC 372,276 +11,016 $250,698
     TSLA372,276+11,016$250,698
UNITEDHEALTH GROUP INC 466,050 -1,229 $239,377
     UNH466,050-1,229$239,377
PROLOGIS INC. 1,643,193 -30,216 $193,321
     PLD1,643,193-30,216$193,321
PROCTER AND GAMBLE CO 1,294,428 -1,585 $186,125
     PG1,294,428-1,585$186,125
VISA INC 930,267 -6,623 $183,160
     V930,267-6,623$183,160
META PLATFORMS INC 1,023,887 -41,517 $165,101
     FB1,023,887-41,517$165,101
NVIDIA CORPORATION 1,087,157 -15,244 $164,802
     NVDA1,087,157-15,244$164,802
MASTERCARD INCORPORATED 501,271 +4,088 $158,140
     MA501,271+4,088$158,140
JPMORGAN CHASE & CO 1,397,725 -31,392 $157,397
     JPM1,397,725-31,392$157,397
EXXON MOBIL CORP 1,789,795 +6,771 $153,278
     XOM1,789,795+6,771$153,278
HOME DEPOT INC 549,327 -28,606 $150,663
     HD549,327-28,606$150,663
BERKSHIRE HATHAWAY INC DEL      $149,106
     BRK.B546,138-20,011$149,106
PFIZER INC 2,684,355 -69,442 $140,740
     PFE2,684,355-69,442$140,740
CHEVRON CORP NEW 957,356 -10,376 $138,606
     CVX957,356-10,376$138,606
COCA COLA CO 2,163,490 +39,959 $136,105
     KO2,163,490+39,959$136,105
MERCK & CO INC 1,471,125 +85,486 $134,122
     MRK1,471,125+85,486$134,122
LILLY ELI & CO 399,742 -10,263 $129,608
     LLY399,742-10,263$129,608
EQUINIX INC 188,330 +5,655 $123,736
     EQIX188,330+5,655$123,736
ABBVIE INC 806,267 -51,649 $123,487
     ABBV806,267-51,649$123,487
MCDONALDS CORP 481,688 -13,620 $118,919
     MCD481,688-13,620$118,919
PEPSICO INC 710,926 +15,502 $118,482
     PEP710,926+15,502$118,482
VERIZON COMMUNICATIONS INC 2,196,326 +18,448 $111,463
     VZ2,196,326+18,448$111,463
PUBLIC STORAGE 355,059 -15,057 $111,016
     PSA355,059-15,057$111,016
THERMO FISHER SCIENTIFIC INC 203,932 -4,010 $110,792
     TMO203,932-4,010$110,792
WALMART INC 882,875 +800 $107,339
     WMT882,875+800$107,339
COSTCO WHSL CORP NEW 222,428 -16,219 $106,605
     COST222,428-16,219$106,605
ISHARES GOLD TR (IAU) 3,055,596 +607,315 $104,837
     IAU3,055,596+607,315$104,837
BK OF AMERICA CORP 3,272,178 -101,533 $101,862
     BAC3,272,178-101,533$101,862
ISHARES TR (USIG) 1,959,158 +608,951 $99,858
     USIG1,959,158+608,951$99,858
ABBOTT LABS 850,327 -46,146 $92,388
     ABT850,327-46,146$92,388
ISHARES TR (MBB) 920,934 +271,661 $89,781
     MBB920,934+271,661$89,781
DISNEY WALT CO 947,830 -21,529 $89,475
     DIS947,830-21,529$89,475
BROADCOM INC 183,930 -10,096 $89,355
     AVGO183,930-10,096$89,355
ADOBE SYSTEMS INCORPORATED 243,050 -13,220 $88,970
     ADBE243,050-13,220$88,970
REALTY INCOME CORP 1,282,308 +147,235 $87,530
     O1,282,308+147,235$87,530
BRISTOL MYERS SQUIBB CO 1,129,422 -27,904 $86,965
     BMY1,129,422-27,904$86,965
AT&T INC 4,135,080 +553,457 $86,671
     T4,135,080+553,457$86,671
NEXTERA ENERGY INC 1,086,017 +8,351 $84,122
     NEE1,086,017+8,351$84,122
CISCO SYS INC 1,950,209 -147,862 $83,156
     CSCO1,950,209-147,862$83,156
DANAHER CORPORATION 323,133 +4,382 $81,920
     DHR323,133+4,382$81,920
AMGEN INC 332,280 -3,004 $80,843
     AMGN332,280-3,004$80,843

See Full List: All Stocks Held By Asset Management One Co. Ltd.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Asset Management One Co. Ltd.

Size ($ in 1000's)
At 06/30/2022: $21,296,065
At 03/31/2022: $25,615,699

Asset Management One Co. Ltd. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Asset Management One Co. Ltd. 13F filings. Link to 13F filings: SEC filings

Asset Management One Co. Ltd. Top Holdings 13F Filings | www.HoldingsChannel.com

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