Deutsche Bank Ag\

Institutional manager — quarterly 13F holdings, Q ending 2026-06-30

Reported value
$344.43B
Q ending 2026-06-30
Prior quarter
$302.65B
Q ending 2026-03-31
Change
+13.8% QoQ · +26.8% YoY
Positions
3,699
reported holdings

Largest positions

Top 100 of 3,699 reported positions by value, Q ending 2026-06-30. 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 CorporationNVDAShares$18.40B92.0M
Apple IncAAPLShares$13.66B47.2M
Microsoft CorpMSFTShares$12.15B32.6M
Alphabet IncGOOGLShares$10.92B30.6M
Amazon Com IncAMZNShares$8.41B35.3M
Alphabet IncGOOGShares$6.12B17.3M
Broadcom IncAVGOShares$5.66B15.0M
Micron Technology IncMUShares$5.53B4.8M
Meta Platforms IncMETAShares$5.21B9.2M
Advanced Micro Devices IncAMDShares$4.67B8.0M
Eli Lilly & CoLLYShares$4.05B3.4M
Tesla IncTSLAShares$4.04B9.6M
Johnson & JohnsonJNJShares$3.98B15.7M
Intel CorpINTCShares$3.46B24.8M
Totalenergies SeShares$3.39B43.6M
Visa IncVShares$3.05B8.9M
Applied Matls IncAMATShares$2.89B4.0M
Abbvie IncABBVShares$2.71B10.8M
Deutsche Bk AgShares$2.59B76.7M
Jpmorgan Chase & CoJPMShares$2.59B7.9M
Astrazeneca PlcShares$2.40B12.6M
Bank Of Amer CorpBACShares$2.36B41.4M
Walmart IncWMTShares$2.11B18.6M
Cisco Sys IncCSCOShares$2.00B17.0M
Linde PlcShares$1.91B3.7M
Lam Research CorpLRCXShares$1.90B4.4M
Mastercard IncorporatedMAShares$1.89B3.7M
Enbridge IncENBShares$1.85B34.1M
Booking Holdings IncBKNGShares$1.69B9.5M
Berkshire Hathaway Inc DelBRK/BShares$1.64B3.3M
Nextera Energy IncNEEShares$1.60B18.2M
Arista Networks IncANETShares$1.59B9.4M
Merck & Co IncMRKShares$1.54B12.0M
Seagate Technology Hldngs PlShares$1.54B1.6M
Abbott LaboratoriesABTShares$1.52B16.7M
Palo Alto Networks IncPANWShares$1.48B4.3M
Exxon Mobil CorpXOMShares$1.46B10.7M
Caterpillar IncCATShares$1.45B1.4M
Medtronic PlcShares$1.44B18.4M
Netflix Inc.NFLXShares$1.44B20.1M
Procter & Gamble CoPGShares$1.42B9.7M
Costco Wholesale CorporationCOSTShares$1.37B1.5M
Agnico Eagle Mines LtdAEMShares$1.36B8.8M
Sandisk CorpSNDKShares$1.35B593K
Coca Cola CoKOShares$1.35B16.6M
Williams Cos IncWMBShares$1.31B17.6M
Kla CorpKLACShares$1.23B4.1M
Amphenol CorpAPHShares$1.22B6.9M
Palantir Technologies IncPLTRShares$1.20B10.3M
Ubs Group AgShares$1.20B24.1M
Chevron CorporationCVXShares$1.19B7.2M
Qualcomm IncQCOMShares$1.18B6.4M
Marvell Technology IncMRVLShares$1.17B3.9M
Pepsico IncPEPShares$1.16B8.5M
Welltower IncWELLShares$1.13B5.0M
Equinix IncEQIXShares$1.12B1.1M
Slb LimitedSLBShares$1.11B23.9M
Progressive CorpPGRShares$1.10B5.0M
American Tower CorpAMTShares$1.10B6.7M
Ge AerospaceGEShares$1.09B2.9M
Colgate Palmolive CoCLShares$1.08B11.8M
Texas Instrs IncTXNShares$1.07B3.6M
Uber Technologies IncUBERShares$1.07B14.8M
Union Pac CorpUNPShares$1.07B3.9M
Pnc Finl Svcs Group IncPNCShares$1.05B4.3M
Tc Energy CorpTRPShares$1.05B15.8M
Ge Vernova IncGEVShares$1.03B878K
Home Depot IncHDShares$1.01B2.9M
Allstate CorpALLShares$1.01B4.2M
Unitedhealth Group IncUNHShares$1.00B2.4M
Automatic Data Processing InADPShares$994.9M4.4M
Parker-Hannifin CorpPHShares$987.6M1.0M
Prologis Inc.PLDShares$969.0M7.2M
International Business MachsIBMShares$960.8M3.4M
Agilent Technologies IncAShares$931.0M7.0M
American Express CoAXPShares$927.9M2.7M
Gilead Sciences IncGILDShares$918.4M7.3M
Newmont CorpNEMShares$911.2M9.8M
SempraSREShares$896.6M9.7M
Oracle CorpORCLShares$891.2M6.1M
Western Digital CorpWDCShares$885.6M1.4M
Verizon Communications IncVZShares$884.1M20.9M
Eaton Corp PlcShares$871.3M2.0M
Tjx Cos Inc NewTJXShares$866.9M5.7M
Wells Fargo & CoWFCShares$859.4M10.4M
Spotify Technology S AShares$858.5M1.9M
Amgen IncAMGNShares$853.0M2.4M
Citigroup IncCShares$818.0M5.8M
Targa Res CorpTRGPShares$811.2M3.0M
Goldman Sachs Group IncGSShares$791.6M783K
Vertex Pharmaceuticals IncVRTXShares$784.4M1.6M
At&T IncTShares$774.8M37.4M
Centerpoint Energy IncCNPShares$770.9M17.5M
Taiwan Semiconductor ManufacTSMShares$758.6M1.6M
Pfizer IncPFEShares$758.3M31.5M
Mondelez Intl IncMDLZShares$752.8M13.0M
Adobe IncADBEShares$750.2M3.7M
Consolidated Edison IncEDShares$749.2M6.8M
Rtx CorporationRTXShares$725.9M3.8M
Canadian Natl Ry CoCNIShares$722.9M6.1M

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.