ASAHI LIFE ASSET MANAGEMENT CO., LTD. - Q1 2021 holdings

$737 Million is the total value of ASAHI LIFE ASSET MANAGEMENT CO., LTD.'s 186 reported holdings in Q1 2021. The portfolio turnover from Q4 2020 to Q1 2021 was - .

 Value Shares↓ Weighting
RTX NewRAYTHEON TECHNOLOGIES CORP COMequity$716,0009,260
+100.0%
0.10%
TGT NewTARGET CORP COMequity$687,0003,470
+100.0%
0.09%
COP NewCONOCOPHILLIPS COMequity$614,00011,590
+100.0%
0.08%
HPQ NewHP INC COMequity$602,00018,950
+100.0%
0.08%
USB NewUS BANCORP DEL COM NEWequity$594,00010,740
+100.0%
0.08%
EOG NewEOG RES INC COMequity$590,0008,140
+100.0%
0.08%
NUE NewNUCOR CORP COMequity$565,0007,040
+100.0%
0.08%
ADI NewANALOG DEVICES INC COMequity$544,0003,510
+100.0%
0.07%
UBER NewUBER TECHNOLOGIES INC COMequity$545,0009,990
+100.0%
0.07%
NewBANK NOVA SCOTIA B C PUTequity$544,0008,690
+100.0%
0.07%
BDX NewBECTON DICKINSON & CO COMequity$540,0002,220
+100.0%
0.07%
GD NewGENERAL DYNAMICS CORP COMequity$536,0002,950
+100.0%
0.07%
NewMANULIFE FINL CORP PUTequity$530,00024,640
+100.0%
0.07%
CTSH NewCOGNIZANT TECHNOLOGY SOLUTIO CL Aequity$505,0006,470
+100.0%
0.07%
ALL NewALLSTATE CORP COMequity$506,0004,400
+100.0%
0.07%
PRU NewPRUDENTIAL FINL INC COMequity$491,0005,390
+100.0%
0.07%
CNC NewCENTENE CORP DEL COMequity$494,0007,730
+100.0%
0.07%
NewCANADIAN IMP BK COMM PUTequity$490,0005,000
+100.0%
0.07%
FITB NewFIFTH THIRD BANCORP COMequity$479,00012,780
+100.0%
0.06%
MAR NewMARRIOTT INTL INC NEW CL Aequity$467,0003,150
+100.0%
0.06%
ADM NewARCHER DANIELS MIDLAND CO COMequity$467,0008,200
+100.0%
0.06%
STLD NewSTEEL DYNAMICS INC COMequity$460,0009,060
+100.0%
0.06%
NewCANADIAN NAT RES LTD PUTequity$448,00014,480
+100.0%
0.06%
NTAP NewNETAPP INC COMequity$448,0006,170
+100.0%
0.06%
LIN NewLINDE PLC SHSequity$443,0001,580
+100.0%
0.06%
PNR NewPENTAIR PLC SHSequity$445,0007,140
+100.0%
0.06%
NWL NewNEWELL BRANDS INC COMequity$443,00016,550
+100.0%
0.06%
NewBARRICK GOLD CORP PUTequity$445,00022,440
+100.0%
0.06%
HBAN NewHUNTINGTON BANCSHARES INC COMequity$442,00028,110
+100.0%
0.06%
VEEV NewVEEVA SYS INC CL A COMequity$444,0001,700
+100.0%
0.06%
FFIV NewF5 NETWORKS INC COMequity$434,0002,080
+100.0%
0.06%
STX NewSEAGATE TECHNOLOGY PLC SHSequity$438,0005,710
+100.0%
0.06%
SNAP NewSNAP INC CL Aequity$435,0008,320
+100.0%
0.06%
KDP NewKEURIG DR PEPPER INC COMequity$432,00012,580
+100.0%
0.06%
HPE NewHEWLETT PACKARD ENTERPRISE C COMequity$435,00027,630
+100.0%
0.06%
PINS NewPINTEREST INC CL Aequity$432,0005,830
+100.0%
0.06%
LVS NewLAS VEGAS SANDS CORP COMequity$431,0007,090
+100.0%
0.06%
CFG NewCITIZENS FINANCIAL GROUP INC COMequity$425,0009,630
+100.0%
0.06%
PCG NewPG&E CORP COMequity$417,00035,630
+100.0%
0.06%
DVN NewDEVON ENERGY CORP NEW COMequity$411,00018,830
+100.0%
0.06%
DELL NewDELL TECHNOLOGIES INC CL Cequity$410,0004,650
+100.0%
0.06%
VMW NewVMWARE INC CL A COMequity$415,0002,760
+100.0%
0.06%
NewGFL ENVIRONMENTAL INC PUTequity$413,00011,820
+100.0%
0.06%
KEY NewKEYCORP COMequity$413,00020,650
+100.0%
0.06%
WU NewWESTERN UN CO COMequity$411,00016,680
+100.0%
0.06%
URI NewUNITED RENTALS INC COMequity$415,0001,260
+100.0%
0.06%
JNPR NewJUNIPER NETWORKS INC COMequity$405,00016,000
+100.0%
0.06%
TXG New10X GENOMICS INC CL A COMequity$404,0002,230
+100.0%
0.06%
NLOK NewNORTONLIFELOCK INC COMequity$400,00018,830
+100.0%
0.05%
LEA NewLEAR CORP COM NEWequity$392,0002,160
+100.0%
0.05%
CCL NewCARNIVAL CORP UNIT 99/99/9999equity$392,00014,760
+100.0%
0.05%
ARW NewARROW ELECTRS INC COMequity$392,0003,540
+100.0%
0.05%
LBTYA NewLIBERTY GLOBAL PLC SHS CL Aequity$393,00015,310
+100.0%
0.05%
RUN NewSUNRUN INC COMequity$376,0006,210
+100.0%
0.05%
ALNY NewALNYLAM PHARMACEUTICALS INC COMequity$369,0002,610
+100.0%
0.05%
LW NewLAMB WESTON HLDGS INC COMequity$359,0004,630
+100.0%
0.05%
OGE NewOGE ENERGY CORP COMequity$362,00011,190
+100.0%
0.05%
SGEN NewSEAGEN INC COMequity$362,0002,610
+100.0%
0.05%
NewAGNICO EAGLE MINES LTD PUTequity$355,0006,140
+100.0%
0.05%
SRPT NewSAREPTA THERAPEUTICS INC COMequity$351,0004,710
+100.0%
0.05%
TDOC NewTELADOC HEALTH INC COMequity$336,0001,850
+100.0%
0.05%
TFC NewTRUIST FINL CORP COMequity$339,0005,820
+100.0%
0.05%
NET NewCLOUDFLARE INC CL A COMequity$327,0004,660
+100.0%
0.04%
BMRN NewBIOMARIN PHARMACEUTICAL INC COMequity$298,0003,950
+100.0%
0.04%
NewSHOPIFY INC PUTequity$97,00088
+100.0%
0.01%
Original filings

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

  • View 13F-HR filed 2021-05-07
Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
MICROSOFT CORP COM20Q3 20238.5%
UNITEDHEALTH GROUP INC COM20Q3 20237.1%
APPLE INC COM20Q3 20239.3%
HOME DEPOT INC COM20Q3 20235.1%
GOLDMAN SACHS GROUP INC COM20Q3 20235.2%
BOEING CO COM20Q3 20238.1%
MCDONALDS CORP COM20Q3 20234.3%
VISA INC COM CL A20Q3 20234.0%
CATERPILLAR INC DEL COM20Q3 20233.5%
JOHNSON & JOHNSON COM20Q3 20233.4%

View ASAHI LIFE ASSET MANAGEMENT CO., LTD.'s complete holdings history.

Latest filings
TypeFiled
13F-HR2024-05-03
13F-HR2024-02-13
13F-HR2023-11-02
13F-HR2023-07-21
13F-HR2023-05-01
13F-HR2023-02-10
13F-HR2022-11-07
13F-HR2022-08-02
13F-HR2022-05-11
13F-HR2022-02-02

View ASAHI LIFE ASSET MANAGEMENT CO., LTD.'s complete filings history.

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