$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 | New | RAYTHEON TECHNOLOGIES CORP COMequity | $716,000 | – | 9,260 | +100.0% | 0.10% | – |
TGT | New | TARGET CORP COMequity | $687,000 | – | 3,470 | +100.0% | 0.09% | – |
COP | New | CONOCOPHILLIPS COMequity | $614,000 | – | 11,590 | +100.0% | 0.08% | – |
HPQ | New | HP INC COMequity | $602,000 | – | 18,950 | +100.0% | 0.08% | – |
USB | New | US BANCORP DEL COM NEWequity | $594,000 | – | 10,740 | +100.0% | 0.08% | – |
EOG | New | EOG RES INC COMequity | $590,000 | – | 8,140 | +100.0% | 0.08% | – |
NUE | New | NUCOR CORP COMequity | $565,000 | – | 7,040 | +100.0% | 0.08% | – |
ADI | New | ANALOG DEVICES INC COMequity | $544,000 | – | 3,510 | +100.0% | 0.07% | – |
UBER | New | UBER TECHNOLOGIES INC COMequity | $545,000 | – | 9,990 | +100.0% | 0.07% | – |
New | BANK NOVA SCOTIA B C PUTequity | $544,000 | – | 8,690 | +100.0% | 0.07% | – | |
BDX | New | BECTON DICKINSON & CO COMequity | $540,000 | – | 2,220 | +100.0% | 0.07% | – |
GD | New | GENERAL DYNAMICS CORP COMequity | $536,000 | – | 2,950 | +100.0% | 0.07% | – |
New | MANULIFE FINL CORP PUTequity | $530,000 | – | 24,640 | +100.0% | 0.07% | – | |
CTSH | New | COGNIZANT TECHNOLOGY SOLUTIO CL Aequity | $505,000 | – | 6,470 | +100.0% | 0.07% | – |
ALL | New | ALLSTATE CORP COMequity | $506,000 | – | 4,400 | +100.0% | 0.07% | – |
PRU | New | PRUDENTIAL FINL INC COMequity | $491,000 | – | 5,390 | +100.0% | 0.07% | – |
CNC | New | CENTENE CORP DEL COMequity | $494,000 | – | 7,730 | +100.0% | 0.07% | – |
New | CANADIAN IMP BK COMM PUTequity | $490,000 | – | 5,000 | +100.0% | 0.07% | – | |
FITB | New | FIFTH THIRD BANCORP COMequity | $479,000 | – | 12,780 | +100.0% | 0.06% | – |
MAR | New | MARRIOTT INTL INC NEW CL Aequity | $467,000 | – | 3,150 | +100.0% | 0.06% | – |
ADM | New | ARCHER DANIELS MIDLAND CO COMequity | $467,000 | – | 8,200 | +100.0% | 0.06% | – |
STLD | New | STEEL DYNAMICS INC COMequity | $460,000 | – | 9,060 | +100.0% | 0.06% | – |
New | CANADIAN NAT RES LTD PUTequity | $448,000 | – | 14,480 | +100.0% | 0.06% | – | |
NTAP | New | NETAPP INC COMequity | $448,000 | – | 6,170 | +100.0% | 0.06% | – |
LIN | New | LINDE PLC SHSequity | $443,000 | – | 1,580 | +100.0% | 0.06% | – |
PNR | New | PENTAIR PLC SHSequity | $445,000 | – | 7,140 | +100.0% | 0.06% | – |
NWL | New | NEWELL BRANDS INC COMequity | $443,000 | – | 16,550 | +100.0% | 0.06% | – |
New | BARRICK GOLD CORP PUTequity | $445,000 | – | 22,440 | +100.0% | 0.06% | – | |
HBAN | New | HUNTINGTON BANCSHARES INC COMequity | $442,000 | – | 28,110 | +100.0% | 0.06% | – |
VEEV | New | VEEVA SYS INC CL A COMequity | $444,000 | – | 1,700 | +100.0% | 0.06% | – |
FFIV | New | F5 NETWORKS INC COMequity | $434,000 | – | 2,080 | +100.0% | 0.06% | – |
STX | New | SEAGATE TECHNOLOGY PLC SHSequity | $438,000 | – | 5,710 | +100.0% | 0.06% | – |
SNAP | New | SNAP INC CL Aequity | $435,000 | – | 8,320 | +100.0% | 0.06% | – |
KDP | New | KEURIG DR PEPPER INC COMequity | $432,000 | – | 12,580 | +100.0% | 0.06% | – |
HPE | New | HEWLETT PACKARD ENTERPRISE C COMequity | $435,000 | – | 27,630 | +100.0% | 0.06% | – |
PINS | New | PINTEREST INC CL Aequity | $432,000 | – | 5,830 | +100.0% | 0.06% | – |
LVS | New | LAS VEGAS SANDS CORP COMequity | $431,000 | – | 7,090 | +100.0% | 0.06% | – |
CFG | New | CITIZENS FINANCIAL GROUP INC COMequity | $425,000 | – | 9,630 | +100.0% | 0.06% | – |
PCG | New | PG&E CORP COMequity | $417,000 | – | 35,630 | +100.0% | 0.06% | – |
DVN | New | DEVON ENERGY CORP NEW COMequity | $411,000 | – | 18,830 | +100.0% | 0.06% | – |
DELL | New | DELL TECHNOLOGIES INC CL Cequity | $410,000 | – | 4,650 | +100.0% | 0.06% | – |
VMW | New | VMWARE INC CL A COMequity | $415,000 | – | 2,760 | +100.0% | 0.06% | – |
New | GFL ENVIRONMENTAL INC PUTequity | $413,000 | – | 11,820 | +100.0% | 0.06% | – | |
KEY | New | KEYCORP COMequity | $413,000 | – | 20,650 | +100.0% | 0.06% | – |
WU | New | WESTERN UN CO COMequity | $411,000 | – | 16,680 | +100.0% | 0.06% | – |
URI | New | UNITED RENTALS INC COMequity | $415,000 | – | 1,260 | +100.0% | 0.06% | – |
JNPR | New | JUNIPER NETWORKS INC COMequity | $405,000 | – | 16,000 | +100.0% | 0.06% | – |
TXG | New | 10X GENOMICS INC CL A COMequity | $404,000 | – | 2,230 | +100.0% | 0.06% | – |
NLOK | New | NORTONLIFELOCK INC COMequity | $400,000 | – | 18,830 | +100.0% | 0.05% | – |
LEA | New | LEAR CORP COM NEWequity | $392,000 | – | 2,160 | +100.0% | 0.05% | – |
CCL | New | CARNIVAL CORP UNIT 99/99/9999equity | $392,000 | – | 14,760 | +100.0% | 0.05% | – |
ARW | New | ARROW ELECTRS INC COMequity | $392,000 | – | 3,540 | +100.0% | 0.05% | – |
LBTYA | New | LIBERTY GLOBAL PLC SHS CL Aequity | $393,000 | – | 15,310 | +100.0% | 0.05% | – |
RUN | New | SUNRUN INC COMequity | $376,000 | – | 6,210 | +100.0% | 0.05% | – |
ALNY | New | ALNYLAM PHARMACEUTICALS INC COMequity | $369,000 | – | 2,610 | +100.0% | 0.05% | – |
LW | New | LAMB WESTON HLDGS INC COMequity | $359,000 | – | 4,630 | +100.0% | 0.05% | – |
OGE | New | OGE ENERGY CORP COMequity | $362,000 | – | 11,190 | +100.0% | 0.05% | – |
SGEN | New | SEAGEN INC COMequity | $362,000 | – | 2,610 | +100.0% | 0.05% | – |
New | AGNICO EAGLE MINES LTD PUTequity | $355,000 | – | 6,140 | +100.0% | 0.05% | – | |
SRPT | New | SAREPTA THERAPEUTICS INC COMequity | $351,000 | – | 4,710 | +100.0% | 0.05% | – |
TDOC | New | TELADOC HEALTH INC COMequity | $336,000 | – | 1,850 | +100.0% | 0.05% | – |
TFC | New | TRUIST FINL CORP COMequity | $339,000 | – | 5,820 | +100.0% | 0.05% | – |
NET | New | CLOUDFLARE INC CL A COMequity | $327,000 | – | 4,660 | +100.0% | 0.04% | – |
BMRN | New | BIOMARIN PHARMACEUTICAL INC COMequity | $298,000 | – | 3,950 | +100.0% | 0.04% | – |
New | SHOPIFY INC PUTequity | $97,000 | – | 88 | +100.0% | 0.01% | – |
Original filings
The following EDGAR filing(s) were analyzed to create this report:
- View 13F-HR filed 2021-05-07
Signatures
The EDGAR filing(s) were signed by:
Top long-term holdings
Name | Quarters owned | Latest quarter owned | Max weighting |
---|---|---|---|
MICROSOFT CORP COM | 20 | Q3 2023 | 8.5% |
UNITEDHEALTH GROUP INC COM | 20 | Q3 2023 | 7.1% |
APPLE INC COM | 20 | Q3 2023 | 9.3% |
HOME DEPOT INC COM | 20 | Q3 2023 | 5.1% |
GOLDMAN SACHS GROUP INC COM | 20 | Q3 2023 | 5.2% |
BOEING CO COM | 20 | Q3 2023 | 8.1% |
MCDONALDS CORP COM | 20 | Q3 2023 | 4.3% |
VISA INC COM CL A | 20 | Q3 2023 | 4.0% |
CATERPILLAR INC DEL COM | 20 | Q3 2023 | 3.5% |
JOHNSON & JOHNSON COM | 20 | Q3 2023 | 3.4% |
View ASAHI LIFE ASSET MANAGEMENT CO., LTD.'s complete holdings history.
Latest filings
Type | Filed |
---|---|
13F-HR | 2024-05-03 |
13F-HR | 2024-02-13 |
13F-HR | 2023-11-02 |
13F-HR | 2023-07-21 |
13F-HR | 2023-05-01 |
13F-HR | 2023-02-10 |
13F-HR | 2022-11-07 |
13F-HR | 2022-08-02 |
13F-HR | 2022-05-11 |
13F-HR | 2022-02-02 |
View ASAHI LIFE ASSET MANAGEMENT CO., LTD.'s complete filings history.
All filings
- Holdings (13F-HR)
- Significant ownership (13-D/G)
- Insider transactions (4, 5, 6)
- Events (8-K)
- Shareholder votes (proxy)
View complete filings history.