HoldingsChannel.com
All Stocks Held By Banque Pictet & Cie SA
As of  03/31/2020
   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
AMAZON COM INC 235,255 +8,381 $458,681
     AMZN235,255+8,381$458,681
PEPSICO INC 2,024,531 +63,339 $243,146
     PEP2,024,531+63,339$243,146
COLGATE PALMOLIVE CO 3,541,164 +104,408 $234,992
     CL3,541,164+104,408$234,992
NIKE INC 2,787,962 +63,003 $230,676
     NKE2,787,962+63,003$230,676
JOHNSON & JOHNSON 1,757,953 +63,725 $230,520
     JNJ1,757,953+63,725$230,520
MCDONALDS CORP 1,347,245 +60,966 $222,767
     MCD1,347,245+60,966$222,767
ZOETIS INC 1,855,660 +64,041 $218,393
     ZTS1,855,660+64,041$218,393
ALPHABET INC 175,435 +4,546 $203,998
     GOOG175,435+4,546$203,998
ALPHABET INC 173,307 +4,714 $201,374
     GOOGL173,307+4,714$201,374
MICROSOFT CORP 1,077,864 +47,067 $169,990
     MSFT1,077,864+47,067$169,990
3M CO 1,242,566 +47,629 $169,623
     MMM1,242,566+47,629$169,623
FACEBOOK INC 757,069 +43,612 $126,279
     FB757,069+43,612$126,279
VISA INC 713,137 +13,514 $114,901
     V713,137+13,514$114,901
UNITEDHEALTH GROUP INC 430,531 -15,228 $107,366
     UNH430,531-15,228$107,366
MODERNA INC 3,529,014 -383,523 $105,694
     MRNA3,529,014-383,523$105,694
THERMO FISHER SCIENTIFIC INC 228,391 +4,653 $64,772
     TMO228,391+4,653$64,772
APPLE INC 248,407 -28,964 $63,167
     AAPL248,407-28,964$63,167
MASTERCARD INC 250,595 +22,127 $60,534
     MA250,595+22,127$60,534
MEDTRONIC PLC 563,296 +29,272 $50,798
     MDT563,296+29,272$50,798
FIDELITY NATL INFORMATION SV 416,766 +19,020 $50,695
     FIS416,766+19,020$50,695
DISNEY WALT CO 483,570 -124,233 $46,713
     DIS483,570-124,233$46,713
DANAHER CORPORATION 334,316 +6,226 $46,273
     DHR334,316+6,226$46,273
SPDR GOLD TRUST (GLD) 307,249 +108,972 $45,488
     GLD307,249+108,972$45,488
SPDR S&P 500 ETF TR (SPY) 176,105 -214,367 $45,389
     SPY176,105-214,367$45,389
MERCK & CO. INC 469,846 +30,064 $36,150
     MRK469,846+30,064$36,150
ELECTRONIC ARTS INC 336,142 +65,674 $33,671
     EA336,142+65,674$33,671
HONEYWELL INTL INC 241,493 +7,557 $32,309
     HON241,493+7,557$32,309
ISHARES INC (EWJ) 579,959 -58,435 $28,644
     EWJ579,959-58,435$28,644
WELLS FARGO CO NEW 918,129 +4,372 $26,350
     WFC918,129+4,372$26,350
COGNIZANT TECHNOLOGY SOLUTIO 547,983 -58,222 $25,465
     CTSH547,983-58,222$25,465
SPDR SER TR (CWB) 517,139 -29,413 $24,750
     CWB517,139-29,413$24,750
ISHARES TR (OEF) 205,236 -202,189 $24,345
     OEF205,236-202,189$24,345
ASTRAZENECA PLC 231,691 -1,879 $20,731
     AZN231,691-1,879$20,731
HOME DEPOT INC 108,081 -2,746 $20,180
     HD108,081-2,746$20,180
ISHARES TR (EEM) 527,622 -52,099 $18,008
     EEM527,622-52,099$18,008
MOODYS CORP 82,929 -7,159 $17,539
     MCO82,929-7,159$17,539
ORACLE CORP 359,729 +159,194 $17,386
     ORCL359,729+159,194$17,386
INVESCO QQQ TR 90,786 +20,748 $17,286
     QQQ90,786+20,748$17,286
STARBUCKS CORP 260,468 -10,782 $17,123
     SBUX260,468-10,782$17,123
ADOBE INC 53,173 +3,585 $16,922
     ADBE53,173+3,585$16,922
UBS GROUP AG 1,787,427 +228,504 $16,712
     UBS1,787,427+228,504$16,712
BOOKING HLDGS INC 11,962 -1,201 $16,093
     BKNG11,962-1,201$16,093
SALESFORCE COM INC 108,953 +5,300 $15,687
     CRM108,953+5,300$15,687
CINTAS CORP 90,393 -3,980 $15,658
     CTAS90,393-3,980$15,658
MONDELEZ INTL INC 307,630 +5,295 $15,406
     MDLZ307,630+5,295$15,406
ALCON INC 300,368 -19,877 $15,314
     ALC300,368-19,877$15,314
ROLLINS INC 395,900 +28,900 $14,308
     ROL395,900+28,900$14,308
COOPER COS INC 51,176 -1,616 $14,108
     COO51,176-1,616$14,108
SELECT SECTOR SPDR TR (XLV) 153,952 -294 $13,637
     XLV153,952-294$13,637
EXACT SCIENCES CORP 219,059 +152,714 $12,705
     EXAS219,059+152,714$12,705
IDEXX LABS INC 51,117 +10,606 $12,383
     IDXX51,117+10,606$12,383
ABBOTT LABS 154,383 +13,474 $12,182
     ABT154,383+13,474$12,182
ISHARES TR (MCHI) 207,278 +6,615 $11,867
     MCHI207,278+6,615$11,867
NEWMONT CORP 258,508 -9,100 $11,705
     NEM258,508-9,100$11,705
JPMORGAN CHASE & CO 129,308 -22,942 $11,642
     JPM129,308-22,942$11,642
BK OF AMERICA CORP 544,884 -13,728 $11,568
     BAC544,884-13,728$11,568
BARRICK GOLD CORPORATION 600,889 +421 $11,008
     GOLD600,889+421$11,008
AMERISOURCEBERGEN CORP 124,296 -1,333 $11,000
     ABC124,296-1,333$11,000
VANGUARD INTL EQUITY INDEX F (VGK) 243,978 -2,877 $10,559
     VGK243,978-2,877$10,559
DEERE & CO 75,000 UNCH $10,362
     DE75,000UNCH$10,362
AMETEK INC 142,366 -6,927 $10,253
     AME142,366-6,927$10,253
VANGUARD INDEX FDS (VOO) 42,806 -8,944 $10,137
     VOO42,806-8,944$10,137
WISDOMTREE TR 334,610 -495,789 $9,881
     ELD334,610-495,789$9,881
BAXTER INTL INC 121,387 +18,896 $9,855
     BAX121,387+18,896$9,855
AMGEN INC 44,335 -824 $8,988
     AMGN44,335-824$8,988
BERKSHIRE HATHAWAY INC DEL      $8,906
     BRK.B41,275-7,895$7,546
     BRK.A5-15$1,360
ALIBABA GROUP HLDG LTD 372,929 -944 $8,824
     BABA372,929-944$8,824
CHEVRON CORP NEW 121,691 -25,530 $8,818
     CVX121,691-25,530$8,818
PROCTER & GAMBLE CO 79,079 -5,816 $8,699
     PG79,079-5,816$8,699
TJX COS INC NEW 179,483 -12,290 $8,581
     TJX179,483-12,290$8,581
GOLDMAN SACHS GROUP INC 54,543 -4,771 $8,432
     GS54,543-4,771$8,432
INTEL CORP 154,983 +12,843 $8,388
     INTC154,983+12,843$8,388
ARCH CAP GROUP LTD 292,591 -2,772 $8,327
     ACGL292,591-2,772$8,327
PFIZER INC 254,154 -34,549 $8,296
     PFE254,154-34,549$8,296
CITRIX SYS INC 57,169 -4,370 $8,092
     CTXS57,169-4,370$8,092
PHILIP MORRIS INTL INC 110,502 +792 $8,062
     PM110,502+792$8,062
SPDR SER TR (EBND) 322,637 +298,932 $7,901
     EBND322,637+298,932$7,901
EBAY INC 260,153 -265,498 $7,820
     EBAY260,153-265,498$7,820
BRISTOL MYERS SQUIBB CO      $7,735
     BMY133,560-10,101$7,445
     RIGHT 99 99 999976,420-451$290
INTUITIVE SURGICAL INC 15,413 +4,625 $7,633
     ISRG15,413+4,625$7,633
WESTERN ASSET EMERGING MKTS 724,058 +351,116 $7,624
     EMD724,058+351,116$7,624
AT&T INC 261,050 +86,774 $7,610
     T261,050+86,774$7,610
ISHARES TR (INDA) 315,323 -42,848 $7,571
     INDA315,323-42,848$7,571
BROADCOM INC 30,879 -2,659 $7,321
     AVGO30,879-2,659$7,321
BOSTON SCIENTIFIC CORP 221,166 +71,661 $7,217
     BSX221,166+71,661$7,217
JOHNSON CTLS INTL PLC 264,602 +10,989 $7,134
     JCI264,602+10,989$7,134
SPDR SER TR (XBI) 91,568 +15,318 $7,091
     XBI91,568+15,318$7,091
ISHARES INC (EWT) 205,482 -5,516 $6,775
     EWT205,482-5,516$6,775
CAPITAL ONE FINL CORP 131,663 -3,944 $6,638
     COF131,663-3,944$6,638
VANECK VECTORS ETF TR (GDX) 281,419 -26,381 $6,484
     GDX281,419-26,381$6,484
LOGITECH INTL S A 149,891 -156,495 $6,482
     LOGI149,891-156,495$6,482
COMCAST CORP NEW 186,728 +20,560 $6,420
     CMCSA186,728+20,560$6,420
BIOGEN INC 19,683 -4,651 $6,227
     BIIB19,683-4,651$6,227
FIAT CHRYSLER AUTOMOBILES N 830,631 +830,631 $5,990
     FCAU830,631+830,631$5,990
MCKESSON CORP 43,705 -3,918 $5,912
     MCK43,705-3,918$5,912
ISHARES TR (FXI) 154,355 -7,801 $5,794
     FXI154,355-7,801$5,794
GILEAD SCIENCES INC 77,271 -85,548 $5,777
     GILD77,271-85,548$5,777
TEXAS INSTRS INC 57,631 -4,596 $5,759
     TXN57,631-4,596$5,759
HUMANA INC 18,081 -1,655 $5,678
     HUM18,081-1,655$5,678
LAUDER ESTEE COS INC 35,428 +24,988 $5,645
     EL35,428+24,988$5,645
LOWES COS INC 65,408 -3,963 $5,628
     LOW65,408-3,963$5,628
CITIGROUP INC 133,329 -13,430 $5,616
     C133,329-13,430$5,616
FISERV INC 58,450 -600 $5,552
     FISV58,450-600$5,552
EOG RES INC 153,856 -43,822 $5,527
     EOG153,856-43,822$5,527
VMWARE INC 45,481 +10,503 $5,508
     VMW45,481+10,503$5,508
VERISIGN INC 30,389 -2,575 $5,473
     VRSN30,389-2,575$5,473
UNION PAC CORP 38,198 -2,832 $5,387
     UNP38,198-2,832$5,387
ISHARES TR (IWM) 46,582 -10,650 $5,332
     IWM46,582-10,650$5,332
ALIGN TECHNOLOGY INC 30,359 -17,584 $5,281
     ALGN30,359-17,584$5,281
CABOT OIL & GAS CORP 300,999 -24,437 $5,174
     COG300,999-24,437$5,174
DOLLAR GEN CORP NEW 34,225 -2,725 $5,168
     DG34,225-2,725$5,168
ISHARES INC (EWL) 143,316 -71,807 $5,068
     EWL143,316-71,807$5,068
ISHARES TR (IVV) 19,354 -9,847 $5,001
     IVV19,354-9,847$5,001
QORVO INC 60,863 -5,537 $4,907
     QRVO60,863-5,537$4,907
MICRON TECHNOLOGY INC 115,605 +40,769 $4,862
     MU115,605+40,769$4,862
ROSS STORES INC 55,329 -4,245 $4,812
     ROST55,329-4,245$4,812
ISHARES INC (EWY) 101,858 -13,457 $4,779
     EWY101,858-13,457$4,779
NVR INC 1,852 -268 $4,758
     NVR1,852-268$4,758
LAM RESEARCH CORP 19,790 -5,464 $4,750
     LRCX19,790-5,464$4,750
ISHARES TR (ILF) 259,400 UNCH $4,737
     ILF259,400UNCH$4,737
ROYAL CARIBBEAN CRUISES LTD 147,243 +105,872 $4,737
     RCL147,243+105,872$4,737
LYONDELLBASELL INDUSTRIES N 94,899 +6,093 $4,710
     LYB94,899+6,093$4,710
S&P GLOBAL INC 19,150 +19,150 $4,693
     SPGI19,150+19,150$4,693
DEUTSCHE BANK A G 715,500 -6,520 $4,686
     DB715,500-6,520$4,686
PRICE T ROWE GROUP INC 47,424 -3,870 $4,631
     TROW47,424-3,870$4,631
ARCHER DANIELS MIDLAND CO 131,000 +9,500 $4,609
     ADM131,000+9,500$4,609
COCA COLA CO 103,760 -2,400 $4,591
     KO103,760-2,400$4,591
FASTENAL CO 141,718 +1,903 $4,429
     FAST141,718+1,903$4,429
APPLIED MATLS INC 96,634 -26,624 $4,428
     AMAT96,634-26,624$4,428
BRIGHT HORIZONS FAM SOL IN D 43,380 -290 $4,425
     BFAM43,380-290$4,425
ECOLAB INC 28,090 +28,090 $4,377
     ECL28,090+28,090$4,377
SCHWAB CHARLES CORP 125,486 +125,486 $4,219
     SCHW125,486+125,486$4,219
FIRST TR EXCHANGE TRADED FD (FDN) 32,435 UNCH $4,013
     FDN32,435UNCH$4,013
ISHARES TR (IBB) 37,160 -2,500 $4,004
     IBB37,160-2,500$4,004
SELECT SECTOR SPDR TR (XLP) 73,210 -7,070 $3,988
     XLP73,210-7,070$3,988
ZEBRA TECHNOLOGIES CORP 21,285 +17,690 $3,908
     ZBRA21,285+17,690$3,908
ISHARES TR (AGG) 33,680 -11,400 $3,886
     AGG33,680-11,400$3,886
WATERS CORP 21,329 -1,656 $3,883
     WAT21,329-1,656$3,883
PAYPAL HLDGS INC 38,918 +5,928 $3,726
     PYPL38,918+5,928$3,726
ALLERGAN PLC 20,885 -4,571 $3,699
     AGN20,885-4,571$3,699
COSTAR GROUP INC 6,284 UNCH $3,690
     CSGP6,284UNCH$3,690
HCA HEALTHCARE INC 38,334 -5,155 $3,444
     HCA38,334-5,155$3,444
WYNDHAM HOTELS & RESORTS INC 108,023 -8,635 $3,404
     WH108,023-8,635$3,404
ABBVIE INC 44,587 +5,181 $3,397
     ABBV44,587+5,181$3,397
LAS VEGAS SANDS CORP 78,466 -5,846 $3,332
     LVS78,466-5,846$3,332
ILLUMINA INC 12,122 -490 $3,311
     ILMN12,122-490$3,311
INVESCO EXCHANGE TRADED FD T (CQQQ) 68,574 +12,000 $3,283
     CQQQ68,574+12,000$3,283
CHECK POINT SOFTWARE TECH LT 32,183 -11,909 $3,236
     CHKP32,183-11,909$3,236
WISDOMTREE TR 168,389 -126,615 $3,144
     HYZD168,389-126,615$3,144
ISHARES TR (ACWI) 49,473 +28,100 $3,096
     ACWI49,473+28,100$3,096
MARRIOTT INTL INC NEW 41,109 -2,996 $3,075
     MAR41,109-2,996$3,075
ISHARES TR (TIP) 25,850 -3,500 $3,048
     TIP25,850-3,500$3,048
CISCO SYS INC 76,898 -5,913 $3,023
     CSCO76,898-5,913$3,023
ACTIVISION BLIZZARD INC 50,666 -2,770 $3,014
     ATVI50,666-2,770$3,014
LILLY ELI & CO 21,600 -750 $2,996
     LLY21,600-750$2,996
SELECT SECTOR SPDR TR (XLK) 36,865 -340 $2,963
     XLK36,865-340$2,963
ISHARES TR (ITA) 20,400 UNCH $2,929
     ITA20,400UNCH$2,929
EXXON MOBIL CORP 76,900 -5,050 $2,920
     XOM76,900-5,050$2,920
WYNN RESORTS LTD 46,853 -4,173 $2,820
     WYNN46,853-4,173$2,820
WHEATON PRECIOUS METALS CORP 100,000 UNCH $2,721
     WPM100,000UNCH$2,721
TYSON FOODS INC 46,000 +10,000 $2,662
     TSN46,000+10,000$2,662
LEIDOS HOLDINGS INC 28,784 +8,123 $2,638
     LDOS28,784+8,123$2,638
ISHARES INC (ERUS) 95,000 UNCH $2,635
     ERUS95,000UNCH$2,635
HAWAIIAN ELEC INDUSTRIES 60,000 UNCH $2,583
     HE60,000UNCH$2,583
ACCENTURE PLC IRELAND 15,808 -10,224 $2,581
     ACN15,808-10,224$2,581
QUALCOMM INC 38,080 UNCH $2,576
     QCOM38,080UNCH$2,576
ISHARES TR (IYR) 36,288 -3,100 $2,525
     IYR36,288-3,100$2,525
VANGUARD INTL EQUITY INDEX F (VWO) 74,700 -31,535 $2,506
     VWO74,700-31,535$2,506
KRAFT HEINZ CO 99,250 -19,700 $2,455
     KHC99,250-19,700$2,455
CONTINENTAL RES INC 311,779 +311,779 $2,382
     CLR311,779+311,779$2,382
SELECT SECTOR SPDR TR (XLF) 112,380 -86,589 $2,340
     XLF112,380-86,589$2,340
ISHARES INC (EWA) 150,243 -836,649 $2,335
     EWA150,243-836,649$2,335
EXPEDIA GROUP INC 40,919 -3,154 $2,303
     EXPE40,919-3,154$2,303
SPDR DOW JONES INDL AVRG ETF (DIA) 10,325 -238 $2,264
     DIA10,325-238$2,264
ISHARES INC (ECH) 104,000 UNCH $2,255
     ECH104,000UNCH$2,255
INTERNATIONAL BUSINESS MACHS 20,070 -5,150 $2,226
     IBM20,070-5,150$2,226
ISHARES INC (EZU) 70,480 -43,600 $2,150
     EZU70,480-43,600$2,150
AUTOMATIC DATA PROCESSING IN 15,575 UNCH $2,129
     ADP15,575UNCH$2,129
ISHARES INC (EWZ) 89,889 +22,714 $2,118
     EWZ89,889+22,714$2,118
VERIZON COMMUNICATIONS INC 37,730 UNCH $2,027
     VZ37,730UNCH$2,027
DUKE ENERGY CORP NEW 25,000 UNCH $2,022
     DUK25,000UNCH$2,022
ISHARES INC (EWH) 96,440 -1,365 $1,923
     EWH96,440-1,365$1,923
ISHARES TR (EPOL) 135,000 UNCH $1,855
     EPOL135,000UNCH$1,855
VANGUARD INDEX FDS (VNQ) 26,500 UNCH $1,851
     VNQ26,500UNCH$1,851
CIGNA CORP NEW 10,361 -13,377 $1,836
     CI10,361-13,377$1,836
ALEXION PHARMACEUTICALS INC 20,048 +608 $1,800
     ALXN20,048+608$1,800
JAZZ PHARMACEUTICALS PLC 17,943 -2,941 $1,790
     JAZZ17,943-2,941$1,790
BHP GROUP LTD 100,000 UNCH $1,774
     BHP100,000UNCH$1,774
APTIV PLC 35,380 -4,170 $1,742
     APTV35,380-4,170$1,742
AMERICAN WTR WKS CO INC NEW 14,574 +3,284 $1,742
     AWK14,574+3,284$1,742
BAIDU INC 17,064 +3,669 $1,720
     BIDU17,064+3,669$1,720
BANK HAWAII CORP 31,115 +4,696 $1,719
     BOH31,115+4,696$1,719
VANGUARD INTL EQUITY INDEX F (VNQI) 39,060 +2,700 $1,676
     VNQI39,060+2,700$1,676
TE CONNECTIVITY LTD 25,701 -5,899 $1,619
     TEL25,701-5,899$1,619
ISHARES TR (REET) 82,600 +2,000 $1,582
     REET82,600+2,000$1,582
ISHARES INC (EWG) 70,309 -46,362 $1,510
     EWG70,309-46,362$1,510
VANGUARD SCOTTSDALE FDS (VCSH) 18,480 UNCH $1,462
     VCSH18,480UNCH$1,462
NORWEGIAN CRUISE LINE HLDG L 133,255 +1,278 $1,460
     NCLH133,255+1,278$1,460
SCHLUMBERGER LTD 104,650 -30,140 $1,412
     SLB104,650-30,140$1,412
SELECT SECTOR SPDR TR (XLE) 48,416 -151,310 $1,407
     XLE48,416-151,310$1,407
HALLIBURTON CO 196,890 +154,235 $1,349
     HAL196,890+154,235$1,349
MYLAN NV 90,000 +90,000 $1,342
     MYL90,000+90,000$1,342
SERVICENOW INC 4,590 -110 $1,315
     NOW4,590-110$1,315
INVESCO EXCHANGE TRADED FD T (RYT) 8,000 +2,000 $1,276
     RYT8,000+2,000$1,276
FIRST HAWAIIAN INC 75,000 +6,700 $1,240
     FHB75,000+6,700$1,240
CVS HEALTH CORP 20,320 -2,250 $1,206
     CVS20,320-2,250$1,206
NETEASE INC 3,573 +950 $1,147
     NTES3,573+950$1,147
HP INC 63,180 UNCH $1,097
     HPQ63,180UNCH$1,097
ISHARES TR (EIDO) 73,750 UNCH $1,086
     EIDO73,750UNCH$1,086
ISHARES TR (LQD) 8,517 UNCH $1,050
     LQD8,517UNCH$1,050
ISHARES GOLD TRUST (IAU) 69,002 +53,500 $1,040
     IAU69,002+53,500$1,040
NVIDIA CORP 3,925 -1,675 $1,035
     NVDA3,925-1,675$1,035
CATERPILLAR INC DEL 8,860 UNCH $1,028
     CAT8,860UNCH$1,028
ISHARES TR (SHV) 9,123 -1,617 $1,013
     SHV9,123-1,617$1,013
DEXCOM INC 3,715 +445 $1,000
     DXCM3,715+445$1,000
ISHARES TR (EFA) 18,503 +2,503 $989
     EFA18,503+2,503$989
VANECK VECTORS ETF TR (GDXJ) 35,000 +35,000 $984
     GDXJ35,000+35,000$984
NETAPP INC 23,330 UNCH $973
     NTAP23,330UNCH$973
SIMON PPTY GROUP INC NEW 17,440 UNCH $957
     SPG17,440UNCH$957
ISHARES TR (SHY) 10,836 -114 $939
     SHY10,836-114$939
CITIZENS FINANCIAL GROUP INC 49,860 UNCH $938
     CFG49,860UNCH$938
FLIR SYS INC 27,687 +3,550 $883
     FLIR27,687+3,550$883
ISHARES INC (EEMA) 15,400 UNCH $874
     EEMA15,400UNCH$874
COSTCO WHSL CORP NEW 3,050 +1,650 $870
     COST3,050+1,650$870
WASTE MGMT INC DEL 9,400 UNCH $870
     WM9,400UNCH$870
INTERCONTINENTAL EXCHANGE IN (ICE) 10,724 +240 $866
     ICE10,724+240$866
INFOSYS LTD 100,000 UNCH $848
     INFY100,000UNCH$848
ISHARES TR (IEI) 6,115 -95 $815
     IEI6,115-95$815
MARSH & MCLENNAN COS INC 9,400 UNCH $813
     MMC9,400UNCH$813
ISHARES TR (ICF) 8,780 UNCH $804
     ICF8,780UNCH$804
QUANTA SVCS INC 24,132 -3,760 $766
     PWR24,132-3,760$766
VEEVA SYS INC 4,865 UNCH $761
     VEEV4,865UNCH$761
DOLLAR TREE INC 10,300 UNCH $757
     DLTR10,300UNCH$757
ISHARES TR (IYT) 5,300 +5,300 $733
     IYT5,300+5,300$733
CBRE GROUP INC 18,724 +75 $706
     CBRE18,724+75$706
VANECK VECTORS ETF TR (RSX) 42,000 UNCH $699
     RSX42,000UNCH$699
DENTSPLY SIRONA INC 17,750 -14,300 $689
     XRAY17,750-14,300$689
ILLINOIS TOOL WKS INC 4,730 UNCH $672
     ITW4,730UNCH$672
TAIWAN SEMICONDUCTOR MFG LTD 73,173 -13,624 $663
     TSM73,173-13,624$663
WISDOMTREE TR 15,420 -7,842 $650
     DXJ15,420-7,842$650
ISHARES TR (EWU) 26,577 -200 $635
     EWU26,577-200$635
ROCKWELL AUTOMATION INC 4,160 -750 $628
     ROK4,160-750$628
ISHARES INC (URTH) 7,972 -184 $621
     URTH7,972-184$621
RAYTHEON CO 4,675 UNCH $613
     RTN4,675UNCH$613
TEVA PHARMACEUTICAL INDS LTD 66,445 +66,445 $612
     TEVA66,445+66,445$612
NEXTERA ENERGY INC 2,525 UNCH $608
     NEE2,525UNCH$608
WHIRLPOOL CORP 6,700 UNCH $575
     WHR6,700UNCH$575
ISHARES INC (EWW) 20,000 UNCH $567
     EWW20,000UNCH$567
KRANESHARES TR (KWEB) 12,160 UNCH $550
     KWEB12,160UNCH$550
CARLYLE GROUP INC 25,000 +25,000 $541
     CG25,000+25,000$541
TWITTER INC 21,947 UNCH $539
     TWTR21,947UNCH$539
FLEETCOR TECHNOLOGIES INC 2,790 UNCH $520
     FLT2,790UNCH$520
CME GROUP INC 2,975 UNCH $514
     CME2,975UNCH$514
ISHARES INC (THD) 8,760 +1,500 $503
     THD8,760+1,500$503
AUTODESK INC 3,217 +3,217 $502
     ADSK3,217+3,217$502
ANHEUSER BUSCH INBEV SA NV 11,142 UNCH $495
     BUD11,142UNCH$495
SHAW COMMUNICATIONS INC 30,000 UNCH $481
     SJR30,000UNCH$481
SEA LTD 10,690 +10,690 $474
     SE10,690+10,690$474
SQUARE INC 9,011 UNCH $472
     SQ9,011UNCH$472
ISHARES INC (EWM) 20,000 UNCH $464
     EWM20,000UNCH$464
BECTON DICKINSON & CO 2,000 -63,130 $460
     BDX2,000-63,130$460
WALGREENS BOOTS ALLIANCE INC 10,000 +10,000 $458
     WBA10,000+10,000$458
REGENERON PHARMACEUTICALS 928 UNCH $453
     REGN928UNCH$453
JD COM INC 11,127 +11,127 $451
     JD11,127+11,127$451
VANGUARD BD INDEX FDS (BIV) 5,012 -178 $448
     BIV5,012-178$448
SUNCOR ENERGY INC NEW 28,400 UNCH $448
     SU28,400UNCH$448
BOEING CO 3,000 -15,521 $447
     BA3,000-15,521$447
US BANCORP DEL 12,950 -20,261 $446
     USB12,950-20,261$446
DOW INC 15,099 UNCH $441
     DOW15,099UNCH$441
LINDE PLC 2,545 -400 $440
     LIN2,545-400$440
NIELSEN HLDGS PLC 35,000 UNCH $439
     NLSN35,000UNCH$439
MICROCHIP TECHNOLOGY INC 6,465 +4,265 $438
     MCHP6,465+4,265$438
HEWLETT PACKARD ENTERPRISE C 44,380 UNCH $431
     HPE44,380UNCH$431
ISHARES TR (IYH) 2,220 -3,708 $417
     IYH2,220-3,708$417
UNITED PARCEL SERVICE INC 4,360 UNCH $407
     UPS4,360UNCH$407
VERTEX PHARMACEUTICALS INC 1,705 UNCH $406
     VRTX1,705UNCH$406
DIREXION SHS ETF TR (CURE) 10,120 UNCH $403
     CURE10,120UNCH$403
EMERSON ELEC CO 8,460 UNCH $403
     EMR8,460UNCH$403
FORD MTR CO DEL 83,300 -5,000 $402
     F83,300-5,000$402
LIBERTY MEDIA CORP DEL 12,500 UNCH $395
     LSXMK12,500UNCH$395
KIMBERLY CLARK CORP 2,925 UNCH $374
     KMB2,925UNCH$374
NEW ORIENTAL ED & TECH GRP I 3,365 +3,365 $364
     EDU3,365+3,365$364
HDFC BANK LTD 31,929 -21,425 $364
     HDB31,929-21,425$364
ISHARES TR (IYW) 1,765 -250 $361
     IYW1,765-250$361
HESS CORP 10,000 UNCH $333
     HES10,000UNCH$333
SPDR SER TR (SJNK) 13,500 -18,100 $318
     SJNK13,500-18,100$318
ISHARES INC (EWS) 17,695 -2,000 $307
     EWS17,695-2,000$307
VANECK VECTORS ETF TR (VNM) 29,164 UNCH $307
     VNM29,164UNCH$307
COLUMBIA ETF TR II (INCO) 9,589 UNCH $295
     INCO9,589UNCH$295
ISHARES TR (EPHE) 12,379 +4,000 $285
     EPHE12,379+4,000$285
DISCOVERY INC 16,200 UNCH $284
     DISCK16,200UNCH$284
TOTAL S.A. 7,019 UNCH $273
     TOT7,019UNCH$273
ISHARES TR (AAXJ) 4,550 -4,160 $272
     AAXJ4,550-4,160$272
EDWARDS LIFESCIENCES CORP 1,444 -1,407 $272
     EW1,444-1,407$272
PHILLIPS 66 4,790 UNCH $257
     PSX4,790UNCH$257
INTL PAPER CO 8,130 UNCH $253
     IP8,130UNCH$253
SPDR SER TR (XHB) 8,500 -3,700 $253
     XHB8,500-3,700$253
VALERO ENERGY CORP 5,530 -1,699 $251
     VLO5,530-1,699$251
ISHARES TR (IJR) 4,400 -3,500 $247
     IJR4,400-3,500$247
OCCIDENTAL PETE CORP 21,286 -3,747 $246
     OXY21,286-3,747$246
ISHARES TR (HDV) 3,400 UNCH $243
     HDV3,400UNCH$243
SPDR SER TR (SDY) 3,000 UNCH $240
     SDY3,000UNCH$240
ALBEMARLE CORP 4,170 -1,880 $235
     ALB4,170-1,880$235
ISHARES TR (INDY) 9,130 +900 $234
     INDY9,130+900$234
CONOCOPHILLIPS 7,560 UNCH $233
     COP7,560UNCH$233
O REILLY AUTOMOTIVE INC NEW 750 +750 $226
     ORLY750+750$226
ISHARES INC (EWQ) 9,500 UNCH $223
     EWQ9,500UNCH$223
EDISON INTL 4,000 UNCH $219
     EIX4,000UNCH$219
ISHARES INC (EWC) 10,000 UNCH $219
     EWC10,000UNCH$219
VANGUARD TAX MANAGED INTL FD (VEA) 6,110 +6,110 $204
     VEA6,110+6,110$204
TRIP COM GROUP LTD 8,600 UNCH $202
     TCOM8,600UNCH$202
L BRANDS INC 17,000 UNCH $197
     LB17,000UNCH$197
UNITED STATES STL CORP NEW 31,275 +11,654 $197
     X31,275+11,654$197
NEWELL BRANDS INC 13,000 -150,000 $173
     NWL13,000-150,000$173
FREEPORT MCMORAN INC 25,000 UNCH $169
     FCX25,000UNCH$169
DIANA SHIPPING INC 110,000 UNCH $163
     DSX110,000UNCH$163
GLOBAL X FDS 12,500 UNCH $148
     COPX12,500UNCH$148
APOLLO COML REAL EST FIN INC 19,800 -30,200 $147
     ARI19,800-30,200$147
CHINA MOBILE LIMITED 17,800 UNCH $132
     CHL17,800UNCH$132
ICICI BANK LIMITED 27,800 -30,992 $119
     IBN27,800-30,992$119
LENDINGCLUB CORP 13,200 UNCH $104
     LC13,200UNCH$104
SEQUANS COMMUNICATIONS S A 20,000 -20,000 $102
     SQNS20,000-20,000$102
MARATHON OIL CORP 24,000 UNCH $79
     MRO24,000UNCH$79
SOLITARIO ZINC CORP 100,000 +0 $20
     XPL100,000UNCH$20
AMERICAN INTL GROUP INC $0 (exited)
     AIG0-5,581$0
ADVANCED MICRO DEVICES INC $0 (exited)
     AMD0-43,746$0
AON PLC $0 (exited)
     AON0-67,251$0
ISHARES INC $0 (exited)
     BKF0-8,080$0
BLACKROCK INC $0 (exited)
     BLK0-919$0
BORGWARNER INC $0 (exited)
     BWA0-16,500$0
CONAGRA BRANDS INC $0 (exited)
     CAG0-24,800$0
CHUBB LIMITED $0 (exited)
     CB0-1,400$0
CELANESE CORP DEL $0 (exited)
     CE0-4,190$0
CANADIAN NAT RES LTD $0 (exited)
     CNQ0-7,000$0
CONCHO RES INC $0 (exited)
     CXO0-78,748$0
INVESCO DB MLTI SECTR CMMTY $0 (exited)
     DBA0-19,500$0
ISHARES TR $0 (exited)
     EMB0-7,825$0
E TRADE FINANCIAL CORP $0 (exited)
     ETFC0-129,612$0
SPDR INDEX SHS FDS $0 (exited)
     GMF0-2,218$0
ISHARES TR $0 (exited)
     IEO0-5,650$0
IQVIA HLDGS INC $0 (exited)
     IQV0-1,300$0
DIREXION SHS ETF TR $0 (exited)
     JNUG0-4,250$0
ISHARES TR $0 (exited)
     JXI0-13,300$0
SPDR SERIES TRUST $0 (exited)
     KBE0-6,900$0
KLA CORPORATION $0 (exited)
     KLAC0-1,425$0
SPDR SERIES TRUST $0 (exited)
     KRE0-4,000$0
KOHLS CORP $0 (exited)
     KSS0-4,340$0
LIBERTY MEDIA CORP DELAWARE $0 (exited)
     LSXMA0-6,200$0
MARATHON PETE CORP $0 (exited)
     MPC0-8,290$0
PALO ALTO NETWORKS INC $0 (exited)
     PANW0-2,087$0
ISHARES INC $0 (exited)
     PICK0-8,335$0
PNC FINL SVCS GROUP INC $0 (exited)
     PNC0-1,478$0
PVH CORP $0 (exited)
     PVH0-52,473$0
SABRE CORP $0 (exited)
     SABR0-13,314$0
SEALED AIR CORP NEW $0 (exited)
     SEE0-10,525$0
MOLSON COORS BREWING CO $0 (exited)
     TAP0-16,877$0
TORONTO DOMINION BK ONT $0 (exited)
     TD0-96,414$0
TELEFLEX INC $0 (exited)
     TFX0-600$0
TESLA INC $0 (exited)
     TSLA0-544$0
TATA MTRS LTD $0 (exited)
     TTM0-12,515$0
UBER TECHNOLOGIES INC $0 (exited)
     UBER0-6,937$0
UNITED TECHNOLOGIES CORP $0 (exited)
     UTX0-31,229$0
VANGUARD INTL EQUITY INDEX F $0 (exited)
     VEU0-25,065$0
VIPSHOP HLDGS LTD $0 (exited)
     VIPS0-11,000$0
WALMART INC $0 (exited)
     WMT0-4,310$0
SPDR SERIES TRUST $0 (exited)
     XES0-104,200$0
SPDR SERIES TRUST 0 -37,513 $0 (exited)
     XOP0-37,513$0

See Summary: Banque Pictet & Cie SA Top Holdings
See Details: Top 10 Stocks Held By Banque Pictet & Cie SA

EntityShares/Amount
Change
Position Value
Change
FCAU +830,631+$5,990
SPGI +19,150+$4,693
ECL +28,090+$4,377
SCHW +125,486+$4,219
CLR +311,779+$2,382
MYL +90,000+$1,342
GDXJ +35,000+$984
IYT +5,300+$733
TEVA +66,445+$612
CG +25,000+$541
EntityShares/Amount
Change
Position Value
Change
AON -67,251-$14,008
CXO -78,748-$6,896
ETFC -129,612-$5,880
PVH -52,473-$5,518
TD -96,414-$5,415
UTX -31,229-$4,677
AMD -43,746-$2,006
VEU -25,065-$1,347
TAP -16,877-$910
EMB -7,825-$896
EntityShares/Amount
Change
Position Value
Change
EMD +351,116+$2,302
EBND +298,932+$7,239
UBS +228,504-$2,968
ORCL +159,194+$6,762
HAL +154,235+$305
EXAS +152,714+$6,569
GLD +108,972+$17,154
RCL +105,872-$786
CL +104,408-$1,594
T +86,774+$799
EntityShares/Amount
Change
Position Value
Change
EWA -836,649-$20,008
ELD -495,789-$19,964
MRNA -383,523+$29,165
EBAY -265,498-$11,161
SPY -214,367-$80,300
OEF -202,189-$34,361
LOGI -156,495-$8,018
XLE -151,310-$10,585
NWL -150,000-$2,960
Size ($ in 1000's)
At 03/31/2020: $4,858,603
At 12/31/2019: $5,764,545

Banque Pictet & Cie SA holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Banque Pictet & Cie SA 13F filings. Link to 13F filings: SEC filings

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