HoldingsChannel.com
Tredje AP fonden Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
ISHARES U.S. HEALTHC (IYH) 416,000 UNCH $81,232
     IYH416,000UNCH$81,232
MICROSOFT CORP 604,615 +1,775 $80,994
     MSFT604,615+1,775$80,994
APPLE COMPUTER INC 305,036 -16,924 $60,373
     AAPL305,036-16,924$60,373
AMAZON.COM INC 28,433 +3,262 $53,842
     AMZN28,433+3,262$53,842
FACEBOOK INC 198,156 +25,917 $38,244
     FB198,156+25,917$38,244
JOHNSON & JOHNSON 253,810 +918 $35,351
     JNJ253,810+918$35,351
WALT DISNEY CO 238,689 +87,103 $33,331
     DIS238,689+87,103$33,331
GOOGLE INC 30,511 +3,137 $33,037
     GOOGL30,511+3,137$33,037
VERIZON COMMUNICATIO 543,656 +39,241 $31,059
     VZ543,656+39,241$31,059
JPMORGAN CHASE & CO 256,031 +6,589 $28,624
     JPM256,031+6,589$28,624
VISA INC 157,789 +6,426 $27,384
     V157,789+6,426$27,384
PFIZER INC 625,028 -28,004 $27,076
     PFE625,028-28,004$27,076
MERCK & CO INC 319,577 -6,006 $26,972
     MRK319,577-6,006$26,972
AT&T CORP 789,785 +260,004 $26,466
     T789,785+260,004$26,466
GOOGLE INC 23,064 +584 $24,930
     GOOG23,064+584$24,930
EXXON MOBIL CORP 317,590 +7,409 $24,337
     XOM317,590+7,409$24,337
BERKSHIRE HATHAWAY I      $23,460
     BRK.B110,054+10,923$23,460
PROCTER & GAMBLE CO 210,791 +7,541 $23,113
     PG210,791+7,541$23,113
CISCO SYSTEMS INC 394,835 +84,199 $21,609
     CSCO394,835+84,199$21,609
ABBOTT LABORATORIES 254,209 -998 $21,379
     ABT254,209-998$21,379
BANK OF AMERICA CORP 689,066 +5,498 $19,983
     BAC689,066+5,498$19,983
CHEVRONTEXACO CORP 154,097 +11,911 $19,176
     CVX154,097+11,911$19,176
MASTERCARD INC 71,991 +1,006 $19,044
     MA71,991+1,006$19,044
HOME DEPOT INC 88,726 +1,244 $18,452
     HD88,726+1,244$18,452
ZOETIS INC 162,501 -491 $18,442
     ZTS162,501-491$18,442
AMGEN INC 98,825 +12,321 $18,211
     AMGN98,825+12,321$18,211
COMCAST CORP 419,629 +46,098 $17,742
     CMCSA419,629+46,098$17,742
ORACLE CORP 306,282 +94,379 $17,449
     ORCL306,282+94,379$17,449
UNITEDHEALTH GROUP I 70,474 -3,835 $17,196
     UNH70,474-3,835$17,196
COCA COLA CO THE 318,074 -7,972 $16,324
     KO318,074-7,972$16,324
ABBVIE INC 219,902 +19,907 $15,991
     ABBV219,902+19,907$15,991
PEPSICO INC 120,098 +6,491 $15,748
     PEP120,098+6,491$15,748
ELI LILLY & CO 137,550 +916 $15,239
     LLY137,550+916$15,239
WELLS FARGO & CO 305,089 -12,222 $14,437
     WFC305,089-12,222$14,437
ILLUMINA INC 38,555 -1,577 $14,194
     ILMN38,555-1,577$14,194
ADOBE SYSTEMS INC 46,199 +9,524 $13,613
     ADBE46,199+9,524$13,613
CITIGROUP INC 183,918 +2,176 $12,880
     C183,918+2,176$12,880
INTEL CORP 266,236 -122,071 $12,745
     INTC266,236-122,071$12,745
INTERNATIONAL BUSINE 86,099 -15,831 $11,873
     IBM86,099-15,831$11,873
BOEING CO 32,307 +907 $11,760
     BA32,307+907$11,760
MEDTRONIC INC 111,568 -4,667 $10,866
     MDT111,568-4,667$10,866
COSTCO WHOLESALE COR 40,772 +741 $10,774
     COST40,772+741$10,774
VERTEX PHARMACEUTICA 58,751 -99 $10,774
     VRTX58,751-99$10,774
MCDONALD S CORP 51,252 +3,686 $10,643
     MCD51,252+3,686$10,643
HONEYWELL INTERNATIO 60,860 +3,784 $10,626
     HON60,860+3,784$10,626
THERMO ELECTRON CORP 35,953 -3,941 $10,566
     TMO35,953-3,941$10,566
STARBUCKS CORP 122,573 +4,082 $10,275
     SBUX122,573+4,082$10,275
GILEAD SCIENCES INC 147,840 +1,988 $9,988
     GILD147,840+1,988$9,988
US BANCORP 181,771 +26,403 $9,592
     USB181,771+26,403$9,592
UNION PACIFIC CORP 56,389 -1,151 $9,536
     UNP56,389-1,151$9,536

See Full List: All Stocks Held By Tredje AP fonden
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Tredje AP fonden

Size ($ in 1000's)
At 06/30/2019: $2,094,166
At 03/31/2019: $1,932,607

Tredje AP fonden holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Tredje AP fonden 13F filings. Link to 13F filings: SEC filings

Tredje AP fonden Top Holdings 13F Filings | www.HoldingsChannel.com

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