
Entity | Amount | Change
12/31/2022 to 03/31/2023 |
Position Size ($ in 1000's) |
---|---|---|---|
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4,072,570 | +46,119 | $1,174,122 |
MSFT | 4,072,570 | +46,119 | $1,174,122 |
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6,982,394 | +235,642 | $1,151,397 |
AAPL | 6,982,394 | +235,642 | $1,151,397 |
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3,856,186 | -7,090 | $398,305 |
AMZN | 3,856,186 | -7,090 | $398,305 |
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799,801 | +67,813 | $377,978 |
UNH | 799,801 | +67,813 | $377,978 |
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3,561,694 | -101,562 | $369,455 |
GOOGL | 3,561,694 | -101,562 | $369,455 |
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2,960,437 | +14,955 | $307,885 |
GOOG | 2,960,437 | +14,955 | $307,885 |
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1,073,884 | -17,629 | $298,293 |
NVDA | 1,073,884 | -17,629 | $298,293 |
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1,184,285 | -41,192 | $267,009 |
V | 1,184,285 | -41,192 | $267,009 |
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1,106,248 | +2,890 | $229,502 |
TSLA | 1,106,248 | +2,890 | $229,502 |
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592,581 | -11,213 | $215,350 |
MA | 592,581 | -11,213 | $215,350 |
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392,651 | -3,320 | $151,316 |
ADBE | 392,651 | -3,320 | $151,316 |
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1,418,489 | -121,804 | $150,913 |
MRK | 1,418,489 | -121,804 | $150,913 |
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503,381 | -121,427 | $148,558 |
HD | 503,381 | -121,427 | $148,558 |
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956,500 | -28,085 | $148,258 |
JNJ | 956,500 | -28,085 | $148,258 |
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320,336 | +30,000 | $147,294 |
ELV | 320,336 | +30,000 | $147,294 |
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688,969 | +66,073 | $146,020 |
META | 688,969 | +66,073 | $146,020 |
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809,600 | -10,042 | $134,839 |
MMC | 809,600 | -10,042 | $134,839 |
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377,137 | +32,726 | $134,050 |
LIN | 377,137 | +32,726 | $134,050 |
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212,946 | -19,830 | $122,736 |
TMO | 212,946 | -19,830 | $122,736 |
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190,122 | +1,137 | $121,971 |
AVGO | 190,122 | +1,137 | $121,971 |
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923,377 | -126,128 | $120,325 |
JPM | 923,377 | -126,128 | $120,325 |
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564,983 | -98,586 | $115,449 |
AMT | 564,983 | -98,586 | $115,449 |
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$113,964 | ||
SE | 1,071,082 | +16,121 | $92,703 |
NOTE 2 | 17,500,000 | UNCH | $21,261 |
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612,404 | -11,346 | $111,641 |
PEP | 612,404 | -11,346 | $111,641 |
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748,093 | -105,302 | $111,234 |
PG | 748,093 | -105,302 | $111,234 |
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1,385,444 | +367,036 | $106,790 |
NEE | 1,385,444 | +367,036 | $106,790 |
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212,622 | -15,497 | $105,645 |
COST | 212,622 | -15,497 | $105,645 |
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486,290 | +6,761 | $96,718 |
IQV | 486,290 | +6,761 | $96,718 |
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2,326,506 | +61,573 | $94,921 |
PFE | 2,326,506 | +61,573 | $94,921 |
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582,049 | -63,304 | $92,761 |
ABBV | 582,049 | -63,304 | $92,761 |
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939,045 | +137,716 | $91,961 |
RTX | 939,045 | +137,716 | $91,961 |
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310,612 | -25,452 | $88,776 |
ACN | 310,612 | -25,452 | $88,776 |
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4,192,010 | -1,545,946 | $88,563 |
UBS | 4,192,010 | -1,545,946 | $88,563 |
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424,047 | +19,402 | $88,270 |
ADSK | 424,047 | +19,402 | $88,270 |
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254,963 | +12,750 | $88,085 |
NFLX | 254,963 | +12,750 | $88,085 |
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279,086 | -15,079 | $85,406 |
MCO | 279,086 | -15,079 | $85,406 |
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671,675 | -321,151 | $83,805 |
PLD | 671,675 | -321,151 | $83,805 |
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412,670 | -66,533 | $83,706 |
EFX | 412,670 | -66,533 | $83,706 |
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415,035 | -29,935 | $83,530 |
UNP | 415,035 | -29,935 | $83,530 |
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117,650 | -28,335 | $82,671 |
FICO | 117,650 | -28,335 | $82,671 |
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886,462 | +234,417 | $82,166 |
BAH | 886,462 | +234,417 | $82,166 |
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234,052 | -58,247 | $80,378 |
LLY | 234,052 | -58,247 | $80,378 |
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426,647 | +24,919 | $79,361 |
TXN | 426,647 | +24,919 | $79,361 |
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720,405 | -235,681 | $79,000 |
XOM | 720,405 | -235,681 | $79,000 |
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1,265,547 | -172,999 | $78,502 |
KO | 1,265,547 | -172,999 | $78,502 |
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420,268 | +89,703 | $78,369 |
NXPI | 420,268 | +89,703 | $78,369 |
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1,001,912 | -113,501 | $76,085 |
PYPL | 1,001,912 | -113,501 | $76,085 |
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558,355 | +127,684 | $75,283 |
MPC | 558,355 | +127,684 | $75,283 |
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250,783 | +91,900 | $72,027 |
APD | 250,783 | +91,900 | $72,027 |
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207,637 | -14,411 | $71,587 |
SPGI | 207,637 | -14,411 | $71,587 |
See Full List: All Stocks Held By Aviva PLC
— Including:
Biggest new positions
Biggest exits
Biggest increased positions
Biggest decreased positions
See Details: Top 10 Stocks Held By Aviva PLC
![]() At 03/31/2023: $22,085,558 At 12/31/2022: $20,941,268 Combined Holding Report Includes:
Aviva PLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Aviva PLC 13F filings. Link to 13F filings: SEC filings |