ASAHI LIFE ASSET MANAGEMENT CO., LTD. - Q2 2023 holdings

$304 Million is the total value of ASAHI LIFE ASSET MANAGEMENT CO., LTD.'s 184 reported holdings in Q2 2023. The portfolio turnover from Q1 2023 to Q2 2023 was - .

 Value Shares↓ Weighting
AMAT NewAPPLIED MATLS INC COMequity$555,0343,840
+100.0%
0.18%
MDLZ NewMONDELEZ INTL INC CL Aequity$479,2166,570
+100.0%
0.16%
NewENBRIDGE INC PUTequity$472,96112,710
+100.0%
0.16%
C NewCITIGROUP INC COM NEWequity$462,70210,050
+100.0%
0.15%
CMG NewCHIPOTLE MEXICAN GRILL INC COMequity$434,217203
+100.0%
0.14%
NewCANADIAN PACIFIC KANSAS CITY PUT ADDEDequity$435,8475,390
+100.0%
0.14%
WMB NewWILLIAMS COS INC COMequity$403,30712,360
+100.0%
0.13%
SNOW NewSNOWFLAKE INC CL Aequity$402,9942,290
+100.0%
0.13%
HUM NewHUMANA INC COMequity$402,417900
+100.0%
0.13%
MRVL NewMARVELL TECHNOLOGY INC COMequity$391,5596,550
+100.0%
0.13%
USB NewUS BANCORP DEL COM NEWequity$384,58611,640
+100.0%
0.13%
OTIS NewOTIS WORLDWIDE CORP COMequity$382,7434,300
+100.0%
0.13%
STZ NewCONSTELLATION BRANDS INC CL Aequity$379,0401,540
+100.0%
0.12%
SRE NewSEMPRA COMequity$376,3502,585
+100.0%
0.12%
PLTR NewPALANTIR TECHNOLOGIES INC CL Aequity$367,46023,970
+100.0%
0.12%
NewWARNER BROS DISCOVERY INC COM SER Aequity$358,51928,590
+100.0%
0.12%
PAYX NewPAYCHEX INC COMequity$356,8653,190
+100.0%
0.12%
NewRIVIAN AUTOMOTIVE INC COM CL Aequity$355,02521,310
+100.0%
0.12%
MGM NewMGM RESORTS INTERNATIONAL COMequity$354,4348,070
+100.0%
0.12%
DAL NewDELTA AIR LINES INC DEL COM NEWequity$352,2717,410
+100.0%
0.12%
MPWR NewMONOLITHIC PWR SYS INC COMequity$353,851655
+100.0%
0.12%
D NewDOMINION ENERGY INC COMequity$351,1366,780
+100.0%
0.12%
ACGL NewARCH CAP GROUP LTD ORDequity$352,5444,710
+100.0%
0.12%
VRSK NewVERISK ANALYTICS INC COMequity$348,0861,540
+100.0%
0.12%
NewTC ENERGY CORP PUTequity$349,5868,640
+100.0%
0.12%
NewMANULIFE FINL CORP PUTequity$348,56618,420
+100.0%
0.12%
FIS NewFIDELITY NATL INFORMATION SV COMequity$350,6276,410
+100.0%
0.12%
DG NewDOLLAR GEN CORP NEW COMequity$348,0492,050
+100.0%
0.12%
KMI NewKINDER MORGAN INC DEL COMequity$345,08920,040
+100.0%
0.11%
CZR NewCAESARS ENTERTAINMENT INC NE COMequity$338,4416,640
+100.0%
0.11%
NewBARRICK GOLD CORP PUTequity$338,54519,990
+100.0%
0.11%
NewPEMBINA PIPELINE CORP PUTequity$333,01410,580
+100.0%
0.11%
HUBS NewHUBSPOT INC COMequity$329,896620
+100.0%
0.11%
GPN NewGLOBAL PMTS INC COMequity$328,0723,330
+100.0%
0.11%
PAYC NewPAYCOM SOFTWARE INC COMequity$327,6651,020
+100.0%
0.11%
ED NewCONSOLIDATED EDISON INC COMequity$323,6323,580
+100.0%
0.11%
DASH NewDOORDASH INC CL Aequity$323,2574,230
+100.0%
0.11%
NewCAMECO CORP PUTequity$322,32810,280
+100.0%
0.11%
MTB NewM & T BK CORP COMequity$320,5382,590
+100.0%
0.10%
MHK NewMOHAWK INDS INC COMequity$319,7963,100
+100.0%
0.10%
CRWD NewCROWDSTRIKE HLDGS INC CL Aequity$318,7082,170
+100.0%
0.10%
HBAN NewHUNTINGTON BANCSHARES INC COMequity$315,96229,310
+100.0%
0.10%
LBTYA NewLIBERTY GLOBAL PLC SHS CL Aequity$314,60818,660
+100.0%
0.10%
QRVO NewQORVO INC COMequity$317,3133,110
+100.0%
0.10%
TRU NewTRANSUNION COMequity$311,7533,980
+100.0%
0.10%
ROL NewROLLINS INC COMequity$312,6597,300
+100.0%
0.10%
NewRB GLOBAL INC PUT ADDEDequity$308,8105,140
+100.0%
0.10%
SEDG NewSOLAREDGE TECHNOLOGIES INC COMequity$309,4081,150
+100.0%
0.10%
VFC NewV F CORP COMequity$299,90415,710
+100.0%
0.10%
NRG NewNRG ENERGY INC COM NEWequity$299,8688,020
+100.0%
0.10%
BMRN NewBIOMARIN PHARMACEUTICAL INC COMequity$299,9133,460
+100.0%
0.10%
EQH NewEQUITABLE HLDGS INC COMequity$298,48810,990
+100.0%
0.10%
NewWEST FRASER TIMBER CO LTD PUTequity$297,5903,460
+100.0%
0.10%
CHRW NewC H ROBINSON WORLDWIDE INC COM NEWequity$292,4853,100
+100.0%
0.10%
NewTFI INTL INC PUTequity$293,1372,570
+100.0%
0.10%
UTHR NewUNITED THERAPEUTICS CORP DEL COMequity$284,7681,290
+100.0%
0.09%
PEG NewPUBLIC SVC ENTERPRISE GRP IN COMequity$271,1014,330
+100.0%
0.09%
AA NewALCOA CORP COMequity$268,0477,900
+100.0%
0.09%
RGEN NewREPLIGEN CORP COMequity$261,7011,850
+100.0%
0.09%
MLM NewMARTIN MARIETTA MATLS INC COMequity$242,387525
+100.0%
0.08%
NOC NewNORTHROP GRUMMAN CORP COMequity$209,668460
+100.0%
0.07%
TMUS NewT-MOBILE US INC COMequity$173,6251,250
+100.0%
0.06%
HSY NewHERSHEY CO COMequity$126,099505
+100.0%
0.04%
AMD NewADVANCED MICRO DEVICES INC COMequity$120,7451,060
+100.0%
0.04%
Original filings

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

  • View 13F-HR filed 2023-07-21
Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
MICROSOFT CORP COM23Q2 20248.5%
UNITEDHEALTH GROUP INC COM23Q2 20247.1%
APPLE INC COM23Q2 20249.3%
HOME DEPOT INC COM23Q2 20245.1%
GOLDMAN SACHS GROUP INC COM23Q2 20245.2%
BOEING CO COM23Q2 20248.1%
MCDONALDS CORP COM23Q2 20244.3%
VISA INC COM CL A23Q2 20244.0%
CATERPILLAR INC DEL COM23Q2 20243.5%
JOHNSON & JOHNSON COM23Q2 20243.4%

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

Latest filings
TypeFiled
N-PX/A2024-08-30
N-PX2024-08-12
13F-HR2024-08-06
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

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

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