E. Ohman J:Or Asset Management Ab

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

Reported value
$3.78B
Q ending 2026-03-31
Prior quarter
$4.30B
Q ending 2025-12-31
Change
-11.9% QoQ · +0.6% YoY
Positions
477
reported holdings

Largest positions

Top 100 of 477 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
NvidiaNVDAShares$308.4M1.8M
MicrosoftMSFTShares$271.8M734K
Alphabet AGOOGLShares$217.7M757K
AppleAAPLShares$215.8M850K
AmazonAMZNShares$177.4M852K
BroadcomAVGOShares$159.1M514K
Jp Morgan ChaseJPMShares$80.8M275K
Visa AVShares$73.5M243K
Meta PlatformsMETAShares$65.8M115K
IbmIBMShares$56.6M233K
Gilead SciencesGILDShares$53.2M382K
Cboe Global MarketsCBOEShares$53.1M189K
At&TTShares$49.7M1.7M
MastercardMAShares$48.6M97K
Taiwan Semicond AdrTSMShares$45.0M133K
IntuitINTUShares$44.4M103K
Colgate PalmoliveCLShares$41.9M492K
Alphabet CGOOGShares$41.9M146K
PrologisPLDShares$40.8M309K
ProgressivePGRShares$38.4M194K
Palo Alto NetworksPANWShares$38.2M238K
Ww GraingerGWWShares$37.9M35K
Thermo Fischer ScienTMOShares$37.9M77K
Boston ScientBSXShares$37.2M593K
BlackrockBLKShares$34.9M36K
Albertsons CompaniesACIShares$34.7M2.0M
RollinsROLShares$33.3M624K
SalesforceCRMShares$32.6M175K
Icici Bank Ltd AdrIBNShares$32.5M1.3M
Constellation EnergyCEGShares$31.8M114K
AutodeskADSKShares$30.6M128K
MercadolibreMELIShares$30.4M18K
Microchip TechnologyMCHPShares$27.8M431K
ServicenowNOWShares$27.6M264K
First SolarFSLRShares$27.1M137K
Veeva SystemsVEEVShares$26.4M150K
Eli LillyLLYShares$25.3M27K
Uber TechnologiesUBERShares$25.2M351K
Comfort Systems UsaFIXShares$24.6M18K
First Citizens BancsFCNCAShares$24.4M13K
FortinetFTNTShares$23.3M285K
Cognizant TechCTSHShares$20.6M336K
Generac HoldingsGNRCShares$20.0M102K
PricesmartPSMTShares$19.9M132K
CytokineticsCYTKShares$19.8M301K
Watts Water TechnWTSShares$18.7M65K
Topbuild CorpBLD*Shares$17.2M49K
Akamai TechAKAMShares$15.8M138K
Core & MainCNMShares$15.3M311K
WalmartWMTShares$14.3M115K
Johnson & JohnsonJNJShares$14.0M57K
AbbvieABBVShares$13.1M60K
Micron TechMUShares$13.0M38K
Home DepotHDShares$12.8M39K
ProcterPGShares$12.7M88K
Adv Micro DevAMDShares$12.4M61K
NetflixNFLXShares$12.2M127K
Applied MaterialsAMATShares$12.1M35K
Lam ResearchLRCXShares$11.9M56K
Coca ColaKOShares$11.6M153K
CiscoCSCOShares$10.5M136K
DeereDEShares$10.5M19K
Merck UsdMRKShares$10.2M85K
Intuitive SurgicalISRGShares$10.0M22K
Verizon CommVZShares$9.1M180K
Bank Of AmericaBACShares$8.9M182K
IntelINTCShares$8.8M200K
Goldman SachsGSShares$8.7M10K
OracleORCLShares$8.6M59K
Yum China Hlds HkdYUMCShares$8.4M22K
Unitedhealth GrpUNHShares$8.3M31K
Palantir TechPLTRShares$8.0M55K
Ge VernovaGEVShares$7.8M9K
Kla CorporationKLACShares$7.1M5K
TjxTJXShares$7.0M44K
Citigroup UsdCShares$6.9M61K
McdonaldsMCDShares$6.8M22K
Wells Fargo & CoWFCShares$6.7M85K
Morgan StanleyMSShares$6.6M40K
Texas InstrumentTXNShares$6.6M34K
AmgenAMGNShares$6.5M18K
Booking HoldingsBKNGShares$6.1M1K
Abbott LaboratoriesABTShares$6.0M58K
DexcomDXCMShares$6.0M95K
S&P GlobalSPGIShares$5.9M14K
WelltowerWELLShares$5.8M29K
Hdfc BankHDBShares$5.8M232K
Walt DisneyDISShares$5.8M60K
American ExpressAXPShares$5.7M19K
PepsicoPEPShares$5.6M36K
PfizerPFEShares$5.6M199K
NateraNTRAShares$5.5M27K
Lowea'S CompaniesLOWShares$5.2M22K
MckessonMCKShares$4.9M6K
NextrackerNXTShares$4.8M40K
QualcommQCOMShares$4.7M37K
Union PacificUNPShares$4.6M19K
AdobeADBEShares$4.6M19K
Arista NetworksANETShares$4.6M37K
T-MobileTMUSShares$4.5M22K

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.