Entity | Amount | Change
09/30/2023 to 12/31/2023 |
Position Size ($ in 1000's) |
---|---|---|---|
Microsoft Corp | 1,642,243 | -186,449 | $617,549 |
MSFT | 1,642,243 | -186,449 | $617,549 |
Apple Inc | 3,205,998 | -46,005 | $617,251 |
AAPL | 3,205,998 | -46,005 | $617,251 |
Alphabet Inc | 2,971,909 | -478,700 | $415,146 |
GOOGL | 2,971,909 | -478,700 | $415,146 |
Amazon.com Inc | 2,647,084 | -74,830 | $402,198 |
AMZN | 2,647,084 | -74,830 | $402,198 |
Meta Platforms Inc | 796,243 | -154,629 | $281,838 |
META | 796,243 | -154,629 | $281,838 |
NVIDIA Corp | 474,923 | -100,744 | $235,191 |
NVDA | 474,923 | -100,744 | $235,191 |
Broadcom Inc | 155,062 | -7,422 | $173,088 |
AVGO | 155,062 | -7,422 | $173,088 |
Visa Inc | 581,328 | -19,181 | $151,349 |
V | 581,328 | -19,181 | $151,349 |
Eli Lilly & Co | 229,179 | -34,068 | $133,593 |
LLY | 229,179 | -34,068 | $133,593 |
Adobe Inc | 209,559 | -10,132 | $125,023 |
ADBE | 209,559 | -10,132 | $125,023 |
Salesforce Inc | 474,402 | -8,379 | $124,834 |
CRM | 474,402 | -8,379 | $124,834 |
Tesla Inc | 501,210 | -148,423 | $124,541 |
TSLA | 501,210 | -148,423 | $124,541 |
Costco Wholesale Corp | 182,644 | -17,784 | $120,560 |
COST | 182,644 | -17,784 | $120,560 |
Mastercard Inc | 281,230 | -82,857 | $119,947 |
MA | 281,230 | -82,857 | $119,947 |
UnitedHealth Group Inc | 216,686 | +2,070 | $114,079 |
UNH | 216,686 | +2,070 | $114,079 |
Applied Materials Inc | 684,878 | -15,437 | $110,998 |
AMAT | 684,878 | -15,437 | $110,998 |
Wells Fargo & Co | 2,234,784 | +495,109 | $109,996 |
WFC | 2,234,784 | +495,109 | $109,996 |
Bank of America Corp | 3,220,904 | +3,220,904 | $108,448 |
BAC | 3,220,904 | +3,220,904 | $108,448 |
Oracle Corp | 1,026,199 | +177,603 | $108,192 |
ORCL | 1,026,199 | +177,603 | $108,192 |
CRH PLC | 1,542,764 | -487,479 | $106,579 |
CRH | 1,542,764 | -487,479 | $106,579 |
Netflix Inc | 208,227 | +9,681 | $101,382 |
NFLX | 208,227 | +9,681 | $101,382 |
Estee Lauder Cos Inc The | 684,819 | +684,819 | $100,155 |
EL | 684,819 | +684,819 | $100,155 |
JPMorgan Chase & Co | 577,715 | -441,874 | $98,269 |
JPM | 577,715 | -441,874 | $98,269 |
ResMed Inc | 569,408 | +457,308 | $97,950 |
RMD | 569,408 | +457,308 | $97,950 |
Texas Instruments Inc | 569,979 | +397,930 | $97,159 |
TXN | 569,979 | +397,930 | $97,159 |
Lululemon Athletica Inc | 184,661 | +44,592 | $94,415 |
LULU | 184,661 | +44,592 | $94,415 |
Sherwin Williams Co The | 302,531 | +294,331 | $94,359 |
SHW | 302,531 | +294,331 | $94,359 |
US Bancorp | 2,125,294 | +2,125,294 | $91,983 |
USB | 2,125,294 | +2,125,294 | $91,983 |
KLA Corp | 156,204 | -5,135 | $90,801 |
KLAC | 156,204 | -5,135 | $90,801 |
Clean Harbors Inc | 516,291 | +18,431 | $90,098 |
CLH | 516,291 | +18,431 | $90,098 |
Ingersoll Rand Inc | 1,124,882 | +56,817 | $86,998 |
IR | 1,124,882 | +56,817 | $86,998 |
Thermo Fisher Scientific Inc | 159,054 | +159,054 | $84,424 |
TMO | 159,054 | +159,054 | $84,424 |
Danaher Corp | 359,649 | +297,128 | $83,201 |
DHR | 359,649 | +297,128 | $83,201 |
Union Pacific Corp | 338,590 | +338,590 | $83,164 |
UNP | 338,590 | +338,590 | $83,164 |
Dollar General Corp | 610,887 | +610,887 | $83,050 |
DG | 610,887 | +610,887 | $83,050 |
Micron Technology Inc | 957,947 | -342,145 | $81,751 |
MU | 957,947 | -342,145 | $81,751 |
Core & Main Inc | 2,015,606 | +1,274,134 | $81,451 |
CNM | 2,015,606 | +1,274,134 | $81,451 |
ConocoPhillips | 690,472 | -273,708 | $80,143 |
COP | 690,472 | -273,708 | $80,143 |
T Mobile US Inc | 494,391 | +18,831 | $79,266 |
TMUS | 494,391 | +18,831 | $79,266 |
Intuit Inc | 126,375 | -29,610 | $78,988 |
INTU | 126,375 | -29,610 | $78,988 |
Workday Inc | 283,333 | +13,091 | $78,217 |
WDAY | 283,333 | +13,091 | $78,217 |
American Tower Corp | 350,875 | +350,875 | $75,747 |
AMT | 350,875 | +350,875 | $75,747 |
Vertex Pharmaceuticals Inc | 185,815 | -50,359 | $75,606 |
VRTX | 185,815 | -50,359 | $75,606 |
KKR & Co Inc | 875,916 | -251,108 | $72,570 |
KKR | 875,916 | -251,108 | $72,570 |
Analog Devices Inc | 363,964 | +70,571 | $72,269 |
ADI | 363,964 | +70,571 | $72,269 |
Zoetis Inc | 345,771 | +333,271 | $68,245 |
ZTS | 345,771 | +333,271 | $68,245 |
TransDigm Group Inc | 67,261 | -3,114 | $68,041 |
TDG | 67,261 | -3,114 | $68,041 |
TransUnion | 976,554 | +976,554 | $67,099 |
TRU | 976,554 | +976,554 | $67,099 |
General Electric Co | 501,432 | -351,909 | $63,998 |
GE | 501,432 | -351,909 | $63,998 |
Eaton Corp PLC | 258,521 | -23,940 | $62,257 |
ETN | 258,521 | -23,940 | $62,257 |
See Full List: All Stocks Held By Zurich Insurance Group Ltd FI
— Including:
Biggest new positions
Biggest exits
Biggest increased positions
Biggest decreased positions
See Details: Top 10 Stocks Held By Zurich Insurance Group Ltd FI
Size ($ in 1000's)
At 12/31/2023: $9,788,329 At 09/30/2023: $9,445,631 Combined Holding Report Includes:
Zurich Insurance Group Ltd FI holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Zurich Insurance Group Ltd FI 13F filings. Link to 13F filings: SEC filings |