PGGM Investments - Q1 2022 holdings

$15.8 Billion is the total value of PGGM Investments's 380 reported holdings in Q1 2022. The portfolio turnover from Q4 2021 to Q1 2022 was 0.0% .

 Value Shares↓ Weighting
MSFT  MICROSOFT CORP COM$720,558,0000.0%2,142,4780.0%3.59%0.0%
AAPL  APPLE INC COM$634,151,0000.0%3,571,2710.0%3.16%0.0%
EQIX  EQUINIX INC COM$630,704,0000.0%745,6540.0%3.14%0.0%
PLD  PROLOGIS INC. COM$573,644,0000.0%3,407,2480.0%2.86%0.0%
ARE  ALEXANDRIA REAL ESTATE EQ IN COM$538,189,0000.0%2,413,8370.0%2.68%0.0%
MAA  MID-AMER APT CMNTYS INC COM$530,906,0000.0%2,313,9220.0%2.64%0.0%
INVH  INVITATION HOMES INC COM$486,638,0000.0%10,733,0860.0%2.42%0.0%
UDR  UDR INC COM$423,939,0000.0%7,066,8210.0%2.11%0.0%
GOOGL  ALPHABET INC CAP STK CL Aclass a$423,185,0000.0%146,0750.0%2.11%0.0%
PEAK  HEALTHPEAK PROPERTIES INC COM$421,677,0000.0%11,684,0430.0%2.10%0.0%
WELL  WELLTOWER INC COM$413,103,0000.0%4,816,4040.0%2.06%0.0%
VICI  VICI PPTYS INC COM$411,567,0000.0%13,668,7770.0%2.05%0.0%
SPG  SIMON PPTY GROUP INC NEW COM$397,094,0000.0%2,485,4130.0%1.98%0.0%
REXR  REXFORD INDL RLTY INC COM$384,955,0000.0%4,746,0910.0%1.92%0.0%
CUBE  CUBESMART COM$367,122,0000.0%6,450,9180.0%1.83%0.0%
AMH  AMERICAN HOMES 4 RENT CL Aclass a$367,094,0000.0%8,417,6610.0%1.83%0.0%
DLR  DIGITAL RLTY TR INC COM$345,377,0000.0%1,952,7160.0%1.72%0.0%
COLD  AMERICOLD RLTY TR COM$336,568,0000.0%10,264,3540.0%1.68%0.0%
PK  PARK HOTELS RESORTS INC COM$260,140,0000.0%13,778,6060.0%1.30%0.0%
REG  REGENCY CTRS CORP COM$258,896,0000.0%3,435,9170.0%1.29%0.0%
NNN  NATIONAL RETAIL PROPERTIES I COM$251,336,0000.0%5,228,5410.0%1.25%0.0%
TMO  THERMO FISHER SCIENTIFIC INC COM$191,325,0000.0%286,7410.0%0.95%0.0%
LSI  LIFE STORAGE INC COM$186,540,0000.0%1,217,7830.0%0.93%0.0%
AMZN  AMAZON COM INC COM$186,346,0000.0%55,8870.0%0.93%0.0%
HPP  HUDSON PAC PPTYS INC COM$185,157,0000.0%7,493,1810.0%0.92%0.0%
TRNO  TERRENO RLTY CORP COM$178,912,0000.0%2,097,6910.0%0.89%0.0%
EXR  EXTRA SPACE STORAGE INC COM$178,036,0000.0%785,2320.0%0.89%0.0%
KIM  KIMCO RLTY CORP COM$176,158,0000.0%7,146,3740.0%0.88%0.0%
EPRT  ESSENTIAL PPTYS RLTY TR INC COM$162,122,0000.0%5,623,3780.0%0.81%0.0%
PSA  PUBLIC STORAGE COM$156,310,0000.0%417,3170.0%0.78%0.0%
HD  HOME DEPOT INC COM$141,568,0000.0%341,1190.0%0.70%0.0%
ACN  ACCENTURE PLC IRELAND SHS CLASS Aclass a$134,086,0000.0%323,4490.0%0.67%0.0%
SLG  SL GREEN RLTY CORP COM$126,633,0000.0%1,766,1560.0%0.63%0.0%
TXN  TEXAS INSTRS INC COM$120,184,0000.0%637,6820.0%0.60%0.0%
MCD  MCDONALDS CORP COM$119,964,0000.0%447,5090.0%0.60%0.0%
SPGI  S P GLOBAL INC COM$111,150,0000.0%235,5220.0%0.55%0.0%
YUM  YUM BRANDS INC COM$109,137,0000.0%785,9480.0%0.54%0.0%
ORLY  OREILLY AUTOMOTIVE INC COM$106,303,0000.0%150,5220.0%0.53%0.0%
ABBV  ABBVIE INC COM$97,611,0000.0%720,9060.0%0.49%0.0%
LOW  LOWES COS INC COM$97,213,0000.0%376,0940.0%0.48%0.0%
SFM  SPROUTS FMRS MKT INC COM$94,333,0000.0%3,178,3310.0%0.47%0.0%
EXPD  EXPEDITORS INTL WASH INC COM$94,096,0000.0%700,6950.0%0.47%0.0%
PG  PROCTER AND GAMBLE CO COM$93,585,0000.0%572,1030.0%0.47%0.0%
QCOM  QUALCOMM INC COM$93,178,0000.0%509,5330.0%0.46%0.0%
UNH  UNITEDHEALTH GROUP INC COM$92,181,0000.0%183,5760.0%0.46%0.0%
FB  META PLATFORMS INC CL Aclass a$88,741,0000.0%263,8360.0%0.44%0.0%
AZO  AUTOZONE INC COM$86,187,0000.0%41,1120.0%0.43%0.0%
ABT  ABBOTT LABS COM$85,246,0000.0%605,6950.0%0.42%0.0%
OC  OWENS CORNING NEW COM$80,743,0000.0%892,1900.0%0.40%0.0%
ADP  AUTOMATIC DATA PROCESSING IN COM$77,502,0000.0%314,3070.0%0.39%0.0%
CSCO  CISCO SYS INC COM$77,189,0000.0%1,218,0640.0%0.38%0.0%
SHW  SHERWIN WILLIAMS CO COM$75,936,0000.0%215,6290.0%0.38%0.0%
ADBE  ADOBE SYSTEMS INCORPORATED COM$75,502,0000.0%133,1470.0%0.38%0.0%
STOR  STORE CAP CORP COM$75,469,0000.0%2,193,8520.0%0.38%0.0%
ITW  ILLINOIS TOOL WKS INC COMclass a$74,432,0000.0%301,5890.0%0.37%0.0%
MCK  MCKESSON CORP COM$72,497,0000.0%291,6580.0%0.36%0.0%
MDT  MEDTRONIC PLC SHS$71,798,0000.0%694,0320.0%0.36%0.0%
AMD  ADVANCED MICRO DEVICES INC COM$71,474,0000.0%496,6910.0%0.36%0.0%
ORCL  ORACLE CORP COM$69,224,0000.0%793,7610.0%0.34%0.0%
GILD  GILEAD SCIENCES INC COM$67,602,0000.0%931,0320.0%0.34%0.0%
UPS  UNITED PARCEL SERVICE INC CL Bclass b$67,525,0000.0%315,0370.0%0.34%0.0%
JPM  JPMORGAN CHASE CO COM$65,991,0000.0%416,7410.0%0.33%0.0%
MSI  MOTOROLA SOLUTIONS INC COM NEW$65,224,0000.0%240,0590.0%0.32%0.0%
A  AGILENT TECHNOLOGIES INC COM$65,266,0000.0%408,8070.0%0.32%0.0%
INTC  INTEL CORP COM$64,505,0000.0%1,252,5300.0%0.32%0.0%
MTD  METTLER TOLEDO INTERNATIONAL COM$64,000,0000.0%37,7090.0%0.32%0.0%
PAYX  PAYCHEX INC COM$62,921,0000.0%460,9620.0%0.31%0.0%
DGX  QUEST DIAGNOSTICS INC COM$62,534,0000.0%361,4500.0%0.31%0.0%
FAST  FASTENAL CO COM$61,789,0000.0%964,5430.0%0.31%0.0%
WAT  WATERS CORP COM$60,790,0000.0%163,1500.0%0.30%0.0%
CL  COLGATE PALMOLIVE CO COM$60,299,0000.0%706,5750.0%0.30%0.0%
TROW  PRICE T ROWE GROUP INC COM$60,080,0000.0%305,5350.0%0.30%0.0%
ZTS  ZOETIS INC CL Aclass a$59,949,0000.0%245,6630.0%0.30%0.0%
CVX  CHEVRON CORP NEW COM$59,573,0000.0%507,6540.0%0.30%0.0%
KEYS  KEYSIGHT TECHNOLOGIES INC COM$58,662,0000.0%284,0660.0%0.29%0.0%
HSY  HERSHEY CO COM$57,802,0000.0%298,7630.0%0.29%0.0%
GWW  GRAINGER W W INC COM$57,375,0000.0%110,7120.0%0.29%0.0%
UNP  UNION PAC CORP COM$57,329,0000.0%227,5580.0%0.28%0.0%
ITRI  ITRON INC COM$56,563,0000.0%825,4890.0%0.28%0.0%
BRKB  BERKSHIRE HATHAWAY INC DEL CL B NEWclass b$55,643,0000.0%186,0960.0%0.28%0.0%
MRK  MERCK CO INC COM$54,923,0000.0%716,6360.0%0.27%0.0%
DOV  DOVER CORP COM$54,740,0000.0%301,4310.0%0.27%0.0%
LLY  LILLY ELI CO COM$54,354,0000.0%196,7770.0%0.27%0.0%
CTVA  CORTEVA INC COM$53,474,0000.0%1,131,0000.0%0.27%0.0%
CDW  CDW CORP COM$52,985,0000.0%258,7390.0%0.26%0.0%
PEP  PEPSICO INC COM$50,642,0000.0%291,5300.0%0.25%0.0%
MDLZ  MONDELEZ INTL INC CL Aclass a$50,442,0000.0%760,7040.0%0.25%0.0%
JCI  JOHNSON CTLS INTL PLC SHS$49,629,0000.0%610,3680.0%0.25%0.0%
FMC  FMC CORP COM NEW$49,670,0000.0%452,0000.0%0.25%0.0%
MAS  MASCO CORP COM$49,607,0000.0%706,4560.0%0.25%0.0%
HTA  HEALTHCARE TR AMER INC CL A NEWclass a$49,284,0000.0%1,476,0000.0%0.24%0.0%
OTIS  OTIS WORLDWIDE CORP COM$49,277,0000.0%565,9520.0%0.24%0.0%
AFL  AFLAC INC COM$49,082,0000.0%840,5820.0%0.24%0.0%
CTSH  COGNIZANT TECHNOLOGY SOLUTIO CL Aclass a$49,046,0000.0%552,8210.0%0.24%0.0%
DPZ  DOMINOS PIZZA INC COM$48,075,0000.0%85,1900.0%0.24%0.0%
WM  WASTE MGMT INC DEL COM$47,733,0000.0%285,9950.0%0.24%0.0%
ARW  ARROW ELECTRS INC COM$46,840,0000.0%348,8480.0%0.23%0.0%
VRSN  VERISIGN INC COM$46,445,0000.0%182,9850.0%0.23%0.0%
CHTR  CHARTER COMMUNICATIONS INC N CL Aclass a$46,237,0000.0%70,9190.0%0.23%0.0%
AVY  AVERY DENNISON CORP COM$46,241,0000.0%213,5150.0%0.23%0.0%
KLAC  KLA CORP COM NEW$44,589,0000.0%103,6680.0%0.22%0.0%
RHI  ROBERT HALF INTL INC COM$44,673,0000.0%400,5870.0%0.22%0.0%
INCY  INCYTE CORP COM$44,480,0000.0%606,0000.0%0.22%0.0%
ALL  ALLSTATE CORP COM$44,372,0000.0%377,1560.0%0.22%0.0%
IT  GARTNER INC COM$44,412,0000.0%132,8430.0%0.22%0.0%
TGT  TARGET CORP COM$43,981,0000.0%190,0300.0%0.22%0.0%
LH  LABORATORY CORP AMER HLDGS COM NEW$43,236,0000.0%137,6030.0%0.22%0.0%
AMP  AMERIPRISE FINL INC COM$42,702,0000.0%141,5560.0%0.21%0.0%
AVGO  BROADCOM INC COM$42,047,0000.0%63,1890.0%0.21%0.0%
RSG  REPUBLIC SVCS INC COM$42,038,0000.0%301,4590.0%0.21%0.0%
CBRE  CBRE GROUP INC CL Aclass a$41,870,0000.0%385,8660.0%0.21%0.0%
CERN  CERNER CORP COM$41,832,0000.0%450,4390.0%0.21%0.0%
NDAQ  NASDAQ INC COM$41,801,0000.0%199,0450.0%0.21%0.0%
ABC  AMERISOURCEBERGEN CORP COM$40,623,0000.0%305,6890.0%0.20%0.0%
AGNC  AGNC INVT CORP COM$40,474,0000.0%2,691,1170.0%0.20%0.0%
BRO  BROWN BROWN INC COM$40,234,0000.0%572,4870.0%0.20%0.0%
NTAP  NETAPP INC COM$40,221,0000.0%437,2340.0%0.20%0.0%
MMC  MARSH MCLENNAN COS INC COM$39,234,0000.0%225,7180.0%0.20%0.0%
BR  BROADRIDGE FINL SOLUTIONS IN COM$38,292,0000.0%209,4530.0%0.19%0.0%
ODFL  OLD DOMINION FREIGHT LINE IN COM$38,161,0000.0%106,4810.0%0.19%0.0%
MCO  MOODYS CORP COM$37,606,0000.0%96,2820.0%0.19%0.0%
AMGN  AMGEN INC COM$37,617,0000.0%167,2110.0%0.19%0.0%
FTNT  FORTINET INC COM$37,329,0000.0%103,8650.0%0.19%0.0%
BAC  BK OF AMERICA CORP COM$36,881,0000.0%828,9820.0%0.18%0.0%
CSX  CSX CORP COM$36,150,0000.0%961,4400.0%0.18%0.0%
TSCO  TRACTOR SUPPLY CO COM$35,368,0000.0%148,2310.0%0.18%0.0%
ANTM  ANTHEM INC COM$34,970,0000.0%75,4410.0%0.17%0.0%
HPQ  HP INC COM$34,948,0000.0%927,7440.0%0.17%0.0%
NVDA  NVIDIA CORPORATION COM$34,527,0000.0%117,3950.0%0.17%0.0%
AGRO  ADECOAGRO S A COM$34,560,0000.0%4,500,0000.0%0.17%0.0%
DOX  AMDOCS LTD SHS$34,645,0000.0%462,9210.0%0.17%0.0%
NUE  NUCOR CORP COM$34,228,0000.0%299,8500.0%0.17%0.0%
IDXX  IDEXX LABS INC COM$34,092,0000.0%51,7760.0%0.17%0.0%
HOLX  HOLOGIC INC COM$33,730,0000.0%440,5640.0%0.17%0.0%
APH  AMPHENOL CORP NEW CL Aclass a$33,011,0000.0%377,4410.0%0.16%0.0%
ZBRA  ZEBRA TECHNOLOGIES CORPORATI CL Aclass a$32,494,0000.0%54,5940.0%0.16%0.0%
HAIN  HAIN CELESTIAL GROUP INC COM$32,126,0000.0%753,9550.0%0.16%0.0%
AMAT  APPLIED MATLS INC COM$31,964,0000.0%203,1240.0%0.16%0.0%
GRMN  GARMIN LTD SHS$31,710,0000.0%232,8700.0%0.16%0.0%
SBUX  STARBUCKS CORP COM$31,824,0000.0%272,0730.0%0.16%0.0%
KO  COCA COLA CO COM$31,480,0000.0%531,6740.0%0.16%0.0%
CHRW  C H ROBINSON WORLDWIDE INC COM NEW$31,461,0000.0%292,3040.0%0.16%0.0%
SBAC  SBA COMMUNICATIONS CORP NEW CL Aclass a$31,030,0000.0%79,7650.0%0.15%0.0%
MMM  3M CO COM$30,665,0000.0%172,6320.0%0.15%0.0%
AVB  AVALONBAY CMNTYS INC COM$30,507,0000.0%120,7770.0%0.15%0.0%
TRV  TRAVELERS COMPANIES INC COM$30,358,0000.0%194,0660.0%0.15%0.0%
VZ  VERIZON COMMUNICATIONS INC COM$30,364,0000.0%584,3800.0%0.15%0.0%
AWK  AMERICAN WTR WKS CO INC NEW COM$29,378,0000.0%155,5520.0%0.15%0.0%
TEL  TE CONNECTIVITY LTD SHS$29,382,0000.0%182,1100.0%0.15%0.0%
CE  CELANESE CORP DEL COM$29,071,0000.0%172,9800.0%0.14%0.0%
MA  MASTERCARD INCORPORATED CL Aclass a$29,035,0000.0%80,8060.0%0.14%0.0%
NSC  NORFOLK SOUTHN CORP COM$28,879,0000.0%97,0040.0%0.14%0.0%
DRE  DUKE REALTY CORP COM NEW$28,868,0000.0%439,7970.0%0.14%0.0%
AAP  ADVANCE AUTO PARTS INC COM$28,510,0000.0%118,8500.0%0.14%0.0%
KMI  KINDER MORGAN INC DEL COM$28,544,0000.0%1,799,7380.0%0.14%0.0%
BMY  BRISTOL-MYERS SQUIBB CO COM$27,684,0000.0%444,0090.0%0.14%0.0%
GPC  GENUINE PARTS CO COM$27,712,0000.0%197,6630.0%0.14%0.0%
JBHT  HUNT J B TRANS SVCS INC COM$27,507,0000.0%134,5760.0%0.14%0.0%
DHR  DANAHER CORPORATION COM$27,495,0000.0%83,5680.0%0.14%0.0%
HSIC  HENRY SCHEIN INC COM$27,308,0000.0%352,2240.0%0.14%0.0%
CHKP  CHECK POINT SOFTWARE TECH LT ORDord$27,123,0000.0%232,6940.0%0.14%0.0%
AON  AON PLC SHS CL Aclass a$26,401,0000.0%87,8380.0%0.13%0.0%
STE  STERIS PLC SHS USD$25,971,0000.0%106,6970.0%0.13%0.0%
CMI  CUMMINS INC COM$25,878,0000.0%118,6280.0%0.13%0.0%
JEF  JEFFERIES FINL GROUP INC COM$25,582,0000.0%659,3320.0%0.13%0.0%
PNR  PENTAIR PLC SHS$25,565,0000.0%350,0560.0%0.13%0.0%
LRCX  LAM RESEARCH CORP COM$25,571,0000.0%35,5570.0%0.13%0.0%
FDS  FACTSET RESH SYS INC COMclass a$25,140,0000.0%51,7270.0%0.12%0.0%
LKQ  LKQ CORP COM$25,133,0000.0%418,6740.0%0.12%0.0%
TER  TERADYNE INC COM$24,409,0000.0%149,2650.0%0.12%0.0%
XYL  XYLEM INC COM$24,183,0000.0%201,6620.0%0.12%0.0%
SNA  SNAP ON INC COM$23,852,0000.0%110,7440.0%0.12%0.0%
CPRT  COPART INC COM$23,262,0000.0%153,4200.0%0.12%0.0%
KMB  KIMBERLY-CLARK CORP COM$23,294,0000.0%162,9840.0%0.12%0.0%
NLY  ANNALY CAPITAL MANAGEMENT IN COM$22,841,0000.0%2,920,7950.0%0.11%0.0%
ROK  ROCKWELL AUTOMATION INC COM$22,734,0000.0%65,1680.0%0.11%0.0%
BAX  BAXTER INTL INC COM$22,677,0000.0%264,1760.0%0.11%0.0%
WPC  WP CAREY INC COM$22,563,0000.0%274,9860.0%0.11%0.0%
GS  GOLDMAN SACHS GROUP INC COM$22,227,0000.0%58,1020.0%0.11%0.0%
MWA  MUELLER WTR PRODS INC COM SER A$22,075,0000.0%1,533,0000.0%0.11%0.0%
VOYA  VOYA FINANCIAL INC COM$22,006,0000.0%331,8720.0%0.11%0.0%
EW  EDWARDS LIFESCIENCES CORP COM$21,849,0000.0%168,6540.0%0.11%0.0%
GL  GLOBE LIFE INC COM$21,995,0000.0%234,6900.0%0.11%0.0%
C  CITIGROUP INC COM NEW$21,772,0000.0%360,5290.0%0.11%0.0%
COST  COSTCO WHSL CORP NEW COM$21,725,0000.0%38,2690.0%0.11%0.0%
POOL  POOL CORP COM$21,481,0000.0%37,9520.0%0.11%0.0%
ESS  ESSEX PPTY TR INC COM$21,273,0000.0%60,3950.0%0.11%0.0%
ALLE  ALLEGION PLC ORD SHS$21,163,0000.0%159,7910.0%0.10%0.0%
RE  EVEREST RE GROUP LTD COM$21,008,0000.0%76,6930.0%0.10%0.0%
SEIC  SEI INVTS CO COM$21,099,0000.0%346,2250.0%0.10%0.0%
PEG  PUBLIC SVC ENTERPRISE GRP IN COM$21,058,0000.0%315,5730.0%0.10%0.0%
WMB  WILLIAMS COS INC COM$20,723,0000.0%795,8320.0%0.10%0.0%
IRM  IRON MTN INC NEW COM$20,237,0000.0%386,7210.0%0.10%0.0%
DVA  DAVITA INC COM$19,880,0000.0%174,7580.0%0.10%0.0%
ADSK  AUTODESK INC COM$19,601,0000.0%69,7070.0%0.10%0.0%
HRB  BLOCK H R INC COM$19,473,0000.0%826,5200.0%0.10%0.0%
CTAS  CINTAS CORP COM$19,503,0000.0%44,0070.0%0.10%0.0%
PRU  PRUDENTIAL FINL INC COM$19,518,0000.0%180,3260.0%0.10%0.0%
ELS  EQUITY LIFESTYLE PPTYS INC COM$19,472,0000.0%222,1350.0%0.10%0.0%
V  VISA INC COM CL Aclass a$19,284,0000.0%88,9860.0%0.10%0.0%
NXPI  NXP SEMICONDUCTORS N V COM$18,914,0000.0%83,0350.0%0.09%0.0%
COF  CAPITAL ONE FINL CORP COM$18,741,0000.0%129,1660.0%0.09%0.0%
MET  METLIFE INC COM$18,688,0000.0%299,0490.0%0.09%0.0%
HIG  HARTFORD FINL SVCS GROUP INC COM$18,701,0000.0%270,8660.0%0.09%0.0%
AXP  AMERICAN EXPRESS CO COM$18,432,0000.0%112,6660.0%0.09%0.0%
IEX  IDEX CORP COM$18,540,0000.0%78,4540.0%0.09%0.0%
ECL  ECOLAB INC COM$18,445,0000.0%78,6280.0%0.09%0.0%
DVN  DEVON ENERGY CORP NEW COM$18,515,0000.0%420,3260.0%0.09%0.0%
MAN  MANPOWERGROUP INC WIS COM$18,400,0000.0%189,0510.0%0.09%0.0%
MSCI  MSCI INC COM$18,204,0000.0%29,7110.0%0.09%0.0%
EOG  EOG RES INC COM$18,363,0000.0%206,7200.0%0.09%0.0%
SSNC  SS C TECHNOLOGIES HLDGS INC COM$18,279,0000.0%222,9690.0%0.09%0.0%
EXC  EXELON CORP COM$18,108,0000.0%313,5000.0%0.09%0.0%
CDNS  CADENCE DESIGN SYSTEM INC COM$17,797,0000.0%95,5050.0%0.09%0.0%
EQR  EQUITY RESIDENTIAL SH BEN INTint$17,497,0000.0%193,3380.0%0.09%0.0%
HCA  HCA HEALTHCARE INC COM$16,799,0000.0%65,3880.0%0.08%0.0%
CDK  CDK GLOBAL INC COM$16,672,0000.0%399,4360.0%0.08%0.0%
SJM  SMUCKER J M CO COM NEW$16,404,0000.0%120,7750.0%0.08%0.0%
L  LOEWS CORP COM$16,564,0000.0%286,7660.0%0.08%0.0%
SNPS  SYNOPSYS INC COM$16,053,0000.0%43,5620.0%0.08%0.0%
GNTX  GENTEX CORP COM$15,922,0000.0%456,8840.0%0.08%0.0%
ALLY  ALLY FINL INC COM$15,766,0000.0%331,1400.0%0.08%0.0%
FLT  FLEETCOR TECHNOLOGIES INC COM$15,132,0000.0%67,6020.0%0.08%0.0%
SC  SANTANDER CONSUMER USA HLDGS COM$15,048,0000.0%358,1090.0%0.08%0.0%
O  REALTY INCOME CORP COM$14,883,0000.0%207,8950.0%0.07%0.0%
WU  WESTERN UN CO COM$14,944,0000.0%837,6930.0%0.07%0.0%
LDOS  LEIDOS HOLDINGS INC COM$14,817,0000.0%166,6750.0%0.07%0.0%
BDX  BECTON DICKINSON CO COM$14,672,0000.0%58,3440.0%0.07%0.0%
BBY  BEST BUY INC COM$14,381,0000.0%141,5500.0%0.07%0.0%
NVR  NVR INC COM$14,453,0000.0%2,4460.0%0.07%0.0%
CP  CANADIAN PAC RY LTD COM$14,295,0000.0%198,7040.0%0.07%0.0%
SUI  SUN CMNTYS INC COM$14,363,0000.0%68,4050.0%0.07%0.0%
FBHS  FORTUNE BRANDS HOME SEC IN COM$14,214,0000.0%132,9680.0%0.07%0.0%
NEE  NEXTERA ENERGY INC COM$13,817,0000.0%148,0000.0%0.07%0.0%
HAS  HASBRO INC COM$13,881,0000.0%136,3810.0%0.07%0.0%
EMR  EMERSON ELEC CO COM$13,468,0000.0%144,8660.0%0.07%0.0%
SYK  STRYKER CORPORATION COM$13,012,0000.0%48,6560.0%0.06%0.0%
TEVA  TEVA PHARMACEUTICAL INDS LTD SPONSORED ADSads$12,920,0000.0%1,613,0340.0%0.06%0.0%
SWKS  SKYWORKS SOLUTIONS INC COM$12,944,0000.0%83,4350.0%0.06%0.0%
COO  COOPER COS INC COM NEW$12,876,0000.0%30,7340.0%0.06%0.0%
TSLA  TESLA INC COM$12,596,0000.0%11,9190.0%0.06%0.0%
WST  WEST PHARMACEUTICAL SVSC INC COM$12,368,0000.0%26,3700.0%0.06%0.0%
OKE  ONEOK INC NEW COM$12,453,0000.0%211,9370.0%0.06%0.0%
INGR  INGREDION INC COM$12,517,0000.0%129,5170.0%0.06%0.0%
PFE  PFIZER INC COM$12,355,0000.0%209,2320.0%0.06%0.0%
PKG  PACKAGING CORP AMER COM$12,332,0000.0%90,5770.0%0.06%0.0%
RUN  SUNRUN INC COM$12,207,0000.0%355,9030.0%0.06%0.0%
AJG  GALLAGHER ARTHUR J CO COM$11,728,0000.0%69,1250.0%0.06%0.0%
IBM  INTERNATIONAL BUSINESS MACHS COM$11,634,0000.0%87,0430.0%0.06%0.0%
AYI  ACUITY BRANDS INC COM$11,553,0000.0%54,5650.0%0.06%0.0%
VRSK  VERISK ANALYTICS INC COM$11,476,0000.0%50,1730.0%0.06%0.0%
WHR  WHIRLPOOL CORP COM$11,541,0000.0%49,1800.0%0.06%0.0%
NLOK  NORTONLIFELOCK INC COM$11,344,0000.0%436,6320.0%0.06%0.0%
CI  CIGNA CORP NEW COM$11,090,0000.0%48,2950.0%0.06%0.0%
SIRI  SIRIUS XM HOLDINGS INC COM$11,048,0000.0%1,739,8220.0%0.06%0.0%
STX  SEAGATE TECHNOLOGY HLDNGS PL ORD SHS$11,097,0000.0%98,2230.0%0.06%0.0%
SBS  COMPANHIA DE SANEAMENTO BASI SPONSORED ADRadr$10,826,0000.0%1,475,0000.0%0.05%0.0%
PPG  PPG INDS INC COM$10,590,0000.0%61,4130.0%0.05%0.0%
CF  CF INDS HLDGS INC COM$10,645,0000.0%150,3940.0%0.05%0.0%
PGR  PROGRESSIVE CORP COM$9,908,0000.0%96,5190.0%0.05%0.0%
EPAM  EPAM SYS INC COM$9,704,0000.0%14,5170.0%0.05%0.0%
CAH  CARDINAL HEALTH INC COM$9,285,0000.0%180,3300.0%0.05%0.0%
DFS  DISCOVER FINL SVCS COM$8,905,0000.0%77,0610.0%0.04%0.0%
ICE  INTERCONTINENTAL EXCHANGE IN COM$8,876,0000.0%64,8960.0%0.04%0.0%
KHC  KRAFT HEINZ CO COM$8,929,0000.0%248,7180.0%0.04%0.0%
LNG  CHENIERE ENERGY INC COM NEW$8,808,0000.0%86,8500.0%0.04%0.0%
SEDG  SOLAREDGE TECHNOLOGIES INC COM$8,830,0000.0%31,4710.0%0.04%0.0%
FNF  FIDELITY NATIONAL FINANCIAL FNF GROUP COM$8,726,0000.0%167,2270.0%0.04%0.0%
CB  CHUBB LIMITED COM$8,560,0000.0%44,2800.0%0.04%0.0%
HUM  HUMANA INC COM$8,513,0000.0%18,3530.0%0.04%0.0%
MPC  MARATHON PETE CORP COM$8,225,0000.0%128,5320.0%0.04%0.0%
DELL  DELL TECHNOLOGIES INC CL Cclass c$8,013,0000.0%142,6620.0%0.04%0.0%
INTU  INTUIT COM$7,939,0000.0%12,3420.0%0.04%0.0%
STLD  STEEL DYNAMICS INC COM$7,892,0000.0%127,1540.0%0.04%0.0%
VTR  VENTAS INC COM$7,783,0000.0%152,2500.0%0.04%0.0%
TSN  TYSON FOODS INC CL Aclass a$7,617,0000.0%87,3930.0%0.04%0.0%
AKAM  AKAMAI TECHNOLOGIES INC COM$7,518,0000.0%64,2320.0%0.04%0.0%
ACGL  ARCH CAP GROUP LTD ORDord$7,100,0000.0%159,7320.0%0.04%0.0%
QRVO  QORVO INC COM$6,846,0000.0%43,7750.0%0.03%0.0%
VMW  VMWARE INC CL A COM$6,540,0000.0%56,4410.0%0.03%0.0%
PII  POLARIS INC COM$6,719,0000.0%61,1330.0%0.03%0.0%
FANG  DIAMONDBACK ENERGY INC COM$6,647,0000.0%61,6350.0%0.03%0.0%
RMD  RESMED INC COM$6,676,0000.0%25,6310.0%0.03%0.0%
ROL  ROLLINS INC COM$6,669,0000.0%194,9500.0%0.03%0.0%
IQV  IQVIA HLDGS INC COM$6,495,0000.0%23,0210.0%0.03%0.0%
K  KELLOGG CO COM$6,488,0000.0%100,7200.0%0.03%0.0%
FOXA  FOX CORP CL A COM$6,088,0000.0%164,9750.0%0.03%0.0%
JKHY  HENRY JACK ASSOC INC COM$5,779,0000.0%34,6050.0%0.03%0.0%
WY  WEYERHAEUSER CO MTN BE COM NEW$5,732,0000.0%139,2030.0%0.03%0.0%
WRB  BERKLEY W R CORP COM$5,775,0000.0%70,0920.0%0.03%0.0%
VEON  VEON LTD SPONSORED ADRadr$5,558,0000.0%3,250,3800.0%0.03%0.0%
CBOE  CBOE GLOBAL MKTS INC COM$5,530,0000.0%42,4050.0%0.03%0.0%
REGN  REGENERON PHARMACEUTICALS COM$5,552,0000.0%8,7910.0%0.03%0.0%
LHX  L3HARRIS TECHNOLOGIES INC COM$5,494,0000.0%25,7630.0%0.03%0.0%
 GXO LOGISTICS INCORPORATED COMMON STOCK$5,498,0000.0%60,5320.0%0.03%0.0%
USB  US BANCORP DEL COM NEW$5,129,0000.0%91,3090.0%0.03%0.0%
OMC  OMNICOM GROUP INC COM$5,061,0000.0%69,0740.0%0.02%0.0%
LULU  LULULEMON ATHLETICA INC COM$5,041,0000.0%12,8790.0%0.02%0.0%
XRAY  DENTSPLY SIRONA INC COM$5,085,0000.0%91,1520.0%0.02%0.0%
LBTYA  LIBERTY GLOBAL PLC SHS CL Aclass a$5,116,0000.0%182,1370.0%0.02%0.0%
CHD  CHURCH DWIGHT CO INC COM$4,972,0000.0%48,5100.0%0.02%0.0%
VNT  VONTIER CORPORATION COM$4,874,0000.0%158,6080.0%0.02%0.0%
AIZ  ASSURANT INC COM$4,892,0000.0%31,3840.0%0.02%0.0%
NWSA  NEWS CORP NEW CL Aclass a$4,554,0000.0%204,1110.0%0.02%0.0%
TEAM  ATLASSIAN CORP PLC CL Aclass a$4,511,0000.0%11,8300.0%0.02%0.0%
PSX  PHILLIPS 66 COM$4,439,0000.0%61,2640.0%0.02%0.0%
SYF  SYNCHRONY FINANCIAL COM$4,157,0000.0%89,6200.0%0.02%0.0%
CINF  CINCINNATI FINL CORP COM$3,762,0000.0%33,0230.0%0.02%0.0%
PHM  PULTE GROUP INC COM$3,782,0000.0%66,1580.0%0.02%0.0%
PKI  PERKINELMER INC COM$3,913,0000.0%19,4640.0%0.02%0.0%
UHS  UNIVERSAL HLTH SVCS INC CL Bclass b$3,912,0000.0%30,1720.0%0.02%0.0%
BKR  BAKER HUGHES COMPANY CL Aclass a$3,698,0000.0%153,7080.0%0.02%0.0%
FITB  FIFTH THIRD BANCORP COM$3,658,0000.0%84,0060.0%0.02%0.0%
MKC  MCCORMICK CO INC COM NON VTG$3,671,0000.0%37,9960.0%0.02%0.0%
 BATH BODY WORKS INC COM$3,563,0000.0%51,0500.0%0.02%0.0%
ALGN  ALIGN TECHNOLOGY INC COM$3,480,0000.0%5,2960.0%0.02%0.0%
ABMD  ABIOMED INC COM$3,511,0000.0%9,7740.0%0.02%0.0%
DG  DOLLAR GEN CORP NEW COM$3,319,0000.0%14,0750.0%0.02%0.0%
PH  PARKER-HANNIFIN CORP COM$3,448,0000.0%10,8390.0%0.02%0.0%
JAZZ  JAZZ PHARMACEUTICALS PLC SHS USD$2,944,0000.0%23,1120.0%0.02%0.0%
MKL  MARKEL CORP COM$2,852,0000.0%2,3110.0%0.01%0.0%
IPG  INTERPUBLIC GROUP COS INC COM$2,846,0000.0%75,9930.0%0.01%0.0%
AMT  AMERICAN TOWER CORP NEW COM$2,890,0000.0%9,8790.0%0.01%0.0%
CMCSA  COMCAST CORP NEW CL Aclass a$2,513,0000.0%49,9300.0%0.01%0.0%
XLNX  XILINX INC COM$2,617,0000.0%12,3410.0%0.01%0.0%
ED  CONSOLIDATED EDISON INC COM$2,437,0000.0%28,5670.0%0.01%0.0%
ENPH  ENPHASE ENERGY INC COM$2,484,0000.0%13,5760.0%0.01%0.0%
FFIV  F5 INC COM$2,463,0000.0%10,0650.0%0.01%0.0%
SLB  SCHLUMBERGER LTD COM STK$2,223,0000.0%74,2250.0%0.01%0.0%
TRMB  TRIMBLE INC COM$2,221,0000.0%25,4710.0%0.01%0.0%
FICO  FAIR ISAAC CORP COM$2,246,0000.0%5,1790.0%0.01%0.0%
ETN  EATON CORP PLC SHS$2,200,0000.0%12,7280.0%0.01%0.0%
Y  ALLEGHANY CORP MD COM$2,142,0000.0%3,2090.0%0.01%0.0%
PNC  PNC FINL SVCS GROUP INC COM$2,026,0000.0%10,1020.0%0.01%0.0%
PFG  PRINCIPAL FINANCIAL GROUP IN COM$1,870,0000.0%25,8530.0%0.01%0.0%
AVTR  AVANTOR INC COM$1,756,0000.0%41,6710.0%0.01%0.0%
CCI  CROWN CASTLE INTL CORP NEW COM$1,899,0000.0%9,0990.0%0.01%0.0%
VLO  VALERO ENERGY CORP COM$1,690,0000.0%22,5000.0%0.01%0.0%
CNA  CNA FINL CORP COM$1,607,0000.0%36,4520.0%0.01%0.0%
GIS  GENERAL MLS INC COM$1,536,0000.0%22,7920.0%0.01%0.0%
FRC  FIRST REP BK SAN FRANCISCO C COM$1,512,0000.0%7,3220.0%0.01%0.0%
COG  COTERRA ENERGY INC COM$1,312,0000.0%69,0510.0%0.01%0.0%
OGN  ORGANON CO COMMON STOCK$1,448,0000.0%47,5540.0%0.01%0.0%
AME  AMETEK INC COM$1,423,0000.0%9,6770.0%0.01%0.0%
MRNA  MODERNA INC COM$1,131,0000.0%4,4520.0%0.01%0.0%
ADI  ANALOG DEVICES INC COM$1,001,0000.0%5,6950.0%0.01%0.0%
ATO  ATMOS ENERGY CORP COM$915,0000.0%8,7290.0%0.01%0.0%
PXD  PIONEER NAT RES CO COM$1,043,0000.0%5,7340.0%0.01%0.0%
NI  NISOURCE INC COM$384,0000.0%13,8980.0%0.00%0.0%
DE  DEERE CO COM$281,0000.0%8190.0%0.00%0.0%
HES  HESS CORP COM$208,0000.0%2,8130.0%0.00%0.0%
ULTA  ULTA BEAUTY INC COM$205,0000.0%4960.0%0.00%0.0%
KEY  KEYCORP COM$170,0000.0%7,3530.0%0.00%0.0%
MPWR  MONOLITHIC PWR SYS INC COM$264,0000.0%5350.0%0.00%0.0%
HZNP  HORIZON THERAPEUTICS PUB L SHS$175,0000.0%1,6250.0%0.00%0.0%
LSXMA  LIBERTY MEDIA CORP DEL COM A SIRIUSXM$206,0000.0%4,0500.0%0.00%0.0%
RJF  RAYMOND JAMES FINL INC COM$224,0000.0%2,2300.0%0.00%0.0%
CBSH  COMMERCE BANCSHARES INC COM$174,0000.0%2,5290.0%0.00%0.0%
CRL  CHARLES RIV LABS INTL INC COM$235,0000.0%6230.0%0.00%0.0%
FRT  FEDERAL RLTY INVT TR SH BEN INT NEWint$202,0000.0%1,4820.0%0.00%0.0%
 KYNDRYL HLDGS INC COMMON STOCK ADDED$295,0000.0%16,2840.0%0.00%0.0%
CMA  COMERICA INC COM$239,0000.0%2,7430.0%0.00%0.0%
INFO  IHS MARKIT LTD SHS$197,0000.0%1,4800.0%0.00%0.0%
AGR  AVANGRID INC COM$165,0000.0%3,3030.0%0.00%0.0%
BXP  BOSTON PROPERTIES INC COM$225,0000.0%1,9560.0%0.00%0.0%
BLL  BALL CORP COM$240,0000.0%2,4980.0%0.00%0.0%
Original filings

The following EDGAR filing(s) were analyzed to create this report:

  • View 13F-HR filed 2022-04-25
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
SIMON PPTY GROUP INC NEW COM42Q3 20235.1%
PROLOGIS INC. COM42Q3 20234.7%
DIGITAL RLTY TR INC COM42Q3 20233.4%
MICROSOFT CORP COM42Q3 20233.6%
PUBLIC STORAGE COM42Q3 20232.1%
EXTRA SPACE STORAGE INC COM42Q3 20232.7%
PROCTER GAMBLE CO COM42Q3 20231.5%
MERCK CO INC NEW COM42Q3 20231.5%
ESSEX PPTY TR INC COM42Q3 20232.4%
UDR INC COM42Q3 20232.2%

View PGGM Investments's complete holdings history.

Latest significant ownerships (13-D/G)
PGGM Investments Q1 2022 significant holdings filed using form 13D/G when ownership exceeds 5% of a company's total stock issue.
FiledShares Percentage
HEALTHCARE REALTY TRUST INCMay 17, 20227,176,2304.7%
Hudson Pacific Properties, Inc.May 17, 20226,969,7844.8%
ESSENTIAL PROPERTIES REALTY TRUST, INC.December 01, 20215,999,1084.9%
CubeSmartOctober 12, 202110,071,3375.0%
Rexford Industrial Realty, Inc.October 12, 20217,134,4944.9%
AMERICOLD REALTY TRUSTOctober 07, 202113,001,1255.0%
Terreno Realty CorpOctober 07, 20213,327,5024.8%
CIM Commercial Trust CorpJuly 01, 2021754,6853.2%
SL GREEN REALTY CORPJuly 01, 20212,999,9914.3%
NATIONAL RETAIL PROPERTIES, INC.March 24, 20218,770,6054.7%

View PGGM Investments's complete significant-ownership history.

Latest filings
TypeFiled
13F-HR2024-02-05
13F-HR2023-11-08
13F-HR2023-08-07
13F-HR2023-05-11
13F-HR2023-02-13
13F-HR/A2022-11-10
13F-HR2022-11-02
SC 13G2022-05-17
SC 13G2022-05-17
13F-HR2022-04-25

View PGGM Investments's complete filings history.

Compare quarters

Issues

The following issues were detected while analyzing the report:

  • The reported total value is incorrect (15754196000.0 != 20089375000.0)
  • The reported number of holdings is incorrect (380 != 366)

Export PGGM Investments's holdings