Avanza Fonder Ab
Institutional manager — quarterly 13F holdings, Q ending 2026-03-31
Reported value
$3.61B
Q ending 2026-03-31
Prior quarter
$3.94B
Q ending 2025-12-31
Change
-8.3% QoQ · +18.6% YoY
Positions
484
reported holdings
Largest positions
Top 100 of 484 reported positions by value, Q ending 2026-03-31. A manager can hold shares, calls and puts on the same security at once — such positions are listed as separate rows. Type: Shares = common stock, Put/Call = option positions (valued at the underlying), Principal = debt. Tickers link to stock pages where covered.
| Holding | Ticker | Type | Value ▼ | Shares |
|---|---|---|---|---|
| Apple Inc | AAPL | Shares | $258.0M | 1.0M |
| Nvidia Corporation | NVDA | Shares | $255.4M | 1.5M |
| Microsoft Corp | MSFT | Shares | $179.9M | 486K |
| Amazon Com Inc | AMZN | Shares | $148.7M | 714K |
| Alphabet Inc | GOOGL | Shares | $114.1M | 397K |
| Alphabet Inc | GOOG | Shares | $98.0M | 342K |
| Meta Platforms Inc | META | Shares | $84.4M | 148K |
| Tesla Inc | TSLA | Shares | $83.8M | 225K |
| Broadcom Inc | AVGO | Shares | $64.9M | 210K |
| Johnson & Johnson | JNJ | Shares | $63.5M | 260K |
| Walmart Inc | WMT | Shares | $53.0M | 426K |
| Procter & Gamble Co | PG | Shares | $41.0M | 284K |
| Visa Inc | V | Shares | $40.9M | 135K |
| Home Depot Inc | HD | Shares | $36.1M | 110K |
| Coca Cola Co | KO | Shares | $34.5M | 454K |
| Merck & Co Inc | MRK | Shares | $34.3M | 285K |
| Advanced Micro Devices Inc | AMD | Shares | $32.7M | 161K |
| Netflix Inc. | NFLX | Shares | $32.4M | 337K |
| Cisco Sys Inc | CSCO | Shares | $32.0M | 413K |
| Mastercard Incorporated | MA | Shares | $31.6M | 63K |
| Micron Technology Inc | MU | Shares | $30.5M | 90K |
| Eli Lilly & Co | LLY | Shares | $27.6M | 30K |
| Jpmorgan Chase & Co | JPM | Shares | $27.0M | 92K |
| Linde Plc | Shares | $26.9M | 54K | |
| Applied Matls Inc | AMAT | Shares | $26.8M | 78K |
| Lam Research Corp | LRCX | Shares | $26.1M | 122K |
| Bank America Corp | BAC | Shares | $25.6M | 525K |
| Pepsico Inc | PEP | Shares | $25.3M | 163K |
| Amgen Inc | AMGN | Shares | $22.1M | 63K |
| Royal Bk Cda | RY | Shares | $21.0M | 93K |
| Abbott Laboratories | ABT | Shares | $20.0M | 195K |
| Goldman Sachs Group Inc | GS | Shares | $19.1M | 23K |
| Kla Corp | KLAC | Shares | $18.7M | 13K |
| Intuitive Surgical Inc | ISRG | Shares | $18.2M | 39K |
| Tjx Cos Inc New | TJX | Shares | $18.2M | 114K |
| Gilead Sciences Inc | GILD | Shares | $17.7M | 127K |
| Unitedhealth Group Inc | UNH | Shares | $17.6M | 65K |
| At&T Inc | T | Shares | $16.8M | 581K |
| Pfizer Inc | PFE | Shares | $16.4M | 583K |
| Agnico Eagle Mines Ltd | AEM | Shares | $16.0M | 57K |
| Verizon Communications Inc | VZ | Shares | $15.5M | 309K |
| Citigroup Inc | C | Shares | $14.8M | 130K |
| Morgan Stanley | MS | Shares | $14.5M | 88K |
| International Business Machs | IBM | Shares | $14.5M | 60K |
| Newmont Corp | NEM | Shares | $14.3M | 132K |
| Welltower Inc | WELL | Shares | $14.3M | 72K |
| Deere & Co | DE | Shares | $14.2M | 25K |
| Illinois Tool Wks Inc | ITW | Shares | $13.9M | 53K |
| Thermo Fisher Scientific Inc | TMO | Shares | $13.8M | 28K |
| Oracle Corp | ORCL | Shares | $13.8M | 94K |
| Qualcomm Inc | QCOM | Shares | $13.7M | 106K |
| Stryker Corporation | SYK | Shares | $13.5M | 41K |
| Vertiv Holdings Co | VRT | Shares | $13.3M | 53K |
| Lowes Cos Inc | LOW | Shares | $12.9M | 55K |
| American Express Co | AXP | Shares | $12.6M | 42K |
| Schwab Charles Corp | SCHW | Shares | $12.5M | 133K |
| Disney Walt Co | DIS | Shares | $12.4M | 128K |
| Vertex Pharmaceuticals Inc | VRTX | Shares | $12.3M | 28K |
| Medtronic Plc | Shares | $12.3M | 141K | |
| Bristol-Myers Squibb Co | BMY | Shares | $12.1M | 199K |
| Arista Networks Inc | ANET | Shares | $11.5M | 94K |
| Mckesson Corp | MCK | Shares | $11.5M | 13K |
| Salesforce Inc | CRM | Shares | $11.3M | 61K |
| Blackrock Inc | BLK | Shares | $11.0M | 11K |
| Boston Scientific Corp | BSX | Shares | $10.9M | 174K |
| Corning Inc | GLW | Shares | $10.8M | 79K |
| Ferguson Enterprises Inc | FERG | Shares | $10.6M | 46K |
| Prologis Inc. | PLD | Shares | $10.1M | 76K |
| S&P Global Inc | SPGI | Shares | $9.8M | 23K |
| Progressive Corp | PGR | Shares | $9.8M | 49K |
| Waste Mgmt Inc Del | WM | Shares | $9.8M | 42K |
| Chubb Ltd Switz | Shares | $9.8M | 30K | |
| Danaher Corp Del | DHR | Shares | $9.6M | 50K |
| Wheaton Precious Metals Corp | WPM | Shares | $9.5M | 52K |
| American Wtr Wks Co Inc New | AWK | Shares | $9.2M | 68K |
| United Parcel Svcs Inc | UPS | Shares | $9.2M | 93K |
| Accenture Plc Ireland | Shares | $9.0M | 46K | |
| Fastenal Co | FAST | Shares | $9.0M | 194K |
| Cintas Corp | CTAS | Shares | $9.0M | 53K |
| Trane Technologies Plc | Shares | $8.9M | 21K | |
| Cme Group Inc | CME | Shares | $8.9M | 30K |
| Booking Holdings Inc | BKNG | Shares | $8.8M | 2K |
| Fedex Corp | FDX | Shares | $8.8M | 25K |
| Bank Montreal Medium | BMO | Shares | $8.8M | 47K |
| Regeneron Pharmaceuticals | REGN | Shares | $8.8M | 11K |
| Mondelez Intl Inc | MDLZ | Shares | $8.6M | 149K |
| Expeditors Intl Wash Inc | EXPD | Shares | $8.5M | 59K |
| Capital One Finl Corp | COF | Shares | $8.4M | 46K |
| Bank Nova Scotia B C | BNS | Shares | $8.4M | 87K |
| Comcast Corp New | CMCSA | Shares | $8.3M | 290K |
| Freeport Mcmoran Inc | FCX | Shares | $8.2M | 139K |
| Comfort Sys Usa Inc | FIX | Shares | $8.2M | 6K |
| Oreilly Automotive Inc | ORLY | Shares | $8.1M | 88K |
| Colgate Palmolive Co | CL | Shares | $8.1M | 95K |
| Canadian Imperial Bank Of Co | CM | Shares | $8.0M | 60K |
| Crh Plc | Shares | $7.9M | 75K | |
| T-Mobile Us Inc | TMUS | Shares | $7.7M | 37K |
| Motorola Solutions Inc | MSI | Shares | $7.7M | 18K |
| Johnson Controls Internation | Shares | $7.6M | 58K | |
| Equinix Inc | EQIX | Shares | $7.5M | 8K |
Values as reported in public regulatory filings (USD); holdings are reported quarterly, up to 45 days after quarter end, and may contain reporting errors. Nothing here is investment advice.