B. Metzler Seel. Sohn & Co. Ag

Institutional manager — quarterly 13F holdings, Q ending 2026-03-31

Reported value
$10.77B
Q ending 2026-03-31
Prior quarter
$11.46B
Q ending 2025-12-31
Change
-6.0% QoQ · +11.0% YoY
Positions
712
reported holdings

Largest positions

Top 100 of 712 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.
HoldingTickerTypeValueShares
Nvidia Corp.NVDAShares$680.4M3.9M
MicrosoftMSFTShares$619.5M1.7M
Alphabet Inc.GOOGLShares$571.3M2.0M
Amazon.Com Inc.AMZNShares$548.6M2.6M
Apple Inc.AAPLShares$537.9M2.1M
Meta Platf.METAShares$309.7M541K
Coca-Cola Co.KOShares$309.3M4.1M
Thermo Fish.Scientif.TMOShares$285.7M581K
Jpmorgan ChaseJPMShares$279.1M949K
Visa Inc.VShares$260.7M863K
Mcdonalds Corp.MCDShares$235.4M757K
Vertex Pharmac.VRTXShares$228.2M511K
Broadcom Inc.AVGOShares$212.3M686K
Abbvie Inc.ABBVShares$206.7M950K
Abbott LabsABTShares$187.3M1.8M
Citigroup Inc.CShares$178.2M1.6M
S&P Global Inc.SPGIShares$172.9M407K
Taiwan Semiconductor ManufacTSMShares$167.7M496K
Palo Alto NetwksPANWShares$152.5M951K
Ge AerospaceGEShares$118.5M418K
Eli LillyLLYShares$112.7M123K
Johnson & JohnsonJNJShares$112.5M460K
Netflix Inc.NFLXShares$89.6M932K
Alphabet Inc.GOOGShares$87.8M306K
Mastercard Inc.MAShares$83.5M167K
Home Depot Inc.HDShares$78.5M239K
Uber Tech.UBERShares$77.3M1.1M
Tesla Inc.TSLAShares$76.9M207K
Amphenol Corp.APHShares$76.2M603K
Cisco SystemsCSCOShares$73.8M951K
Pepsico Inc.PEPShares$73.5M474K
Advanced Mic.Dev.AMDShares$61.2M301K
Procter GamblePGShares$57.4M398K
Merck Co.MRKShares$54.7M455K
Micron Techn. Inc.MUShares$54.1M160K
Texas Instr.TXNShares$52.1M268K
Berkshire Hathaway Inc DelBRK/AShares$46.7M65
Arista Net.Inc. NewANETShares$45.3M369K
Applied Materials Inc.AMATShares$43.9M128K
Caterpillar Inc.CATShares$42.6M60K
Howmet AerospaceHWMShares$39.1M170K
Analog Devices Inc.ADIShares$39.0M123K
WalmartWMTShares$37.9M305K
Union Pac.UNPShares$37.8M156K
Mercadolibre Inc.MELIShares$37.2M22K
Fastenal Co.FASTShares$34.4M741K
Exxon Mobil Corp.XOMShares$34.0M201K
Bank AmericaBACShares$33.5M688K
United Rentals Inc.URIShares$32.5M45K
Berkshire Hathaway Inc DelBRK/BShares$31.8M66K
Lam Research CorpLRCXShares$30.6M143K
Costco WholesaleCOSTShares$30.3M30K
Waste ManagementWMShares$29.4M128K
Fifth Third BancorpFITBShares$29.4M632K
Cintas Corp.CTASShares$29.2M173K
Us Foods Hldg CorpUSFDShares$27.8M302K
Amer. ExpressAXPShares$27.0M89K
Westingh.Ai.Br.T.WABShares$26.7M107K
Broadridge Finl Sol.BRShares$26.1M161K
Stryker Corp.SYKShares$26.1M79K
Palantir Technologies IncPLTRShares$25.9M177K
Salesforce Inc.CRMShares$24.6M132K
Kla Corp.KLACShares$23.1M16K
Disney (Walt) Co.DISShares$21.3M221K
Goldman Sachs Grp Inc.GSShares$21.2M25K
Applovin Corp.APPShares$20.3M51K
Blackrock Inc.BLKShares$20.3M21K
Tjx Cos Inc.TJXShares$20.3M127K
Oracle Corp.ORCLShares$20.1M137K
Westn DigitalWDCShares$19.0M70K
Colgate-PalmoliveCLShares$18.3M215K
Intuit Inc.INTUShares$18.3M42K
Charles Schwab Corp.SCHWShares$18.1M193K
Danaher Corp.DHRShares$17.8M94K
Nextera Energy Inc.NEEShares$17.7M190K
Bk N.Y. MellonBNYShares$17.3M146K
Wec Energy GrpWECShares$17.2M149K
Pfizer Inc.PFEShares$17.0M606K
Morgan StanleyMSShares$17.0M103K
Boston ScientificBSXShares$16.6M265K
Wells Fargo & Co.WFCShares$16.5M207K
Zoetis Inc.ZTSShares$16.3M138K
Autozone Inc.AZOShares$16.2M5K
T-Mobile Us Inc.TMUSShares$15.7M75K
Unitedhealth GroupUNHShares$15.6M58K
Amgen Inc.AMGNShares$15.3M44K
Quanta SvcsPWRShares$15.3M28K
Intl Bus. Mach.IBMShares$15.2M63K
Microchip Tech.MCHPShares$15.1M234K
Verizon Comm. Inc.VZShares$15.1M300K
Ge Vernova Inc.GEVShares$14.6M17K
Marvell Tech. GrpMRVLShares$14.6M148K
Gilead SciencesGILDShares$14.3M103K
Lpl Financial HldsLPLAShares$14.3M48K
Booking HldgsBKNGShares$13.8M3K
Sherwin-WilliamsSHWShares$13.7M43K
ConocophillipsCOPShares$13.7M104K
MckessonMCKShares$13.5M16K
Cummins Inc.CMIShares$13.4M25K
Phillips 66PSXShares$13.2M72K

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.