Handelsbanken Fonder Ab

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

Reported value
$30.0M
Q ending 2026-03-31
Prior quarter
$33.1M
Q ending 2025-12-31
Change
-9.4% QoQ · +23.7% YoY
Positions
1,491
reported holdings

Largest positions

Top 100 of 1,491 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 Corporation ComNVDAShares$2.0M11.4M
Apple Inc ComAAPLShares$1.8M7.1M
Microsoft Corp ComMSFTShares$1.4M3.7M
Amazon Com Inc ComAMZNShares$1.1M5.1M
Alphabet Inc Cap Stk Cl AGOOGLShares$827K2.9M
Alphabet Inc Cap Stk Cl CGOOGShares$819K2.9M
Broadcom Inc ComAVGOShares$813K2.6M
Eli Lilly & Co ComLLYShares$652K709K
Meta Platforms Inc Cl AMETAShares$646K1.1M
Johnson & Johnson ComJNJShares$474K1.9M
Jpmorgan Chase & Co ComJPMShares$462K1.6M
Netflix Inc. ComNFLXShares$323K3.4M
Thermo Fisher Scientific Inc ComTMOShares$312K635K
Abbvie Inc ComABBVShares$300K1.4M
Mastercard Incorporated Cl AMAShares$262K524K
Berkshire Hathaway Inc Del Cl B NeBRK/BShares$250K521K
Nextpower Inc Class A ComNXTShares$244K2.0M
Merck & Co Inc ComMRKShares$224K1.9M
Bank America Corp ComBACShares$224K4.6M
Walmart Inc ComWMTShares$219K1.8M
Micron Technology Inc ComMUShares$200K593K
Cisco Sys Inc ComCSCOShares$198K2.5M
Visa Inc Com Cl AVShares$196K647K
Taiwan Semiconductor Manufac SponsTSMShares$184K544K
Home Depot Inc ComHDShares$181K552K
Advanced Micro Devices Inc ComAMDShares$170K836K
Boston Scientific Corp ComBSXShares$162K2.6M
Intuitive Surgical Inc Com NewISRGShares$162K351K
Mckesson Corp ComMCKShares$160K185K
Arista Networks Inc Com ShsANETShares$157K1.3M
Bloom Energy Corp Com Cl ABEShares$153K1.1M
Gilead Sciences Inc ComGILDShares$147K1.1M
Alibaba Group Hldg Ltd Sponsored ABABAShares$137K1.1M
Procter & Gamble Co ComPGShares$135K936K
Lam Research Corp Com NewLRCXShares$128K600K
Applied Matls Inc ComAMATShares$122K357K
Coca Cola Co ComKOShares$122K1.6M
Abbott Laboratories ComABTShares$121K1.2M
Quanta Svcs Inc ComPWRShares$117K214K
Kla Corp Com NewKLACShares$117K80K
First Solar Inc ComFSLRShares$117K594K
Intuit ComINTUShares$116K268K
Palo Alto Networks Inc ComPANWShares$116K724K
Linde Plc ShsShares$111K223K
Oracle Corp ComORCLShares$110K747K
Amgen Inc ComAMGNShares$105K300K
Booking Holdings Inc ComBKNGShares$103K25K
Cencora Inc ComCORShares$103K327K
Henry Jack & Assoc Inc ComJKHYShares$102K646K
Credicorp Ltd ComShares$101K299K
Edwards Lifesciences Corp ComEWShares$101K1.3M
Tjx Cos Inc New ComTJXShares$101K631K
Vertex Pharmaceuticals Inc ComVRTXShares$99K221K
Goldman Sachs Group Inc ComGSShares$98K116K
Regeneron Pharmaceuticals ComREGNShares$97K125K
Wells Fargo & Co ComWFCShares$96K1.2M
Servicenow Inc ComNOWShares$96K915K
Stryker Corporation ComSYKShares$95K290K
Albemarle Corp ComALBShares$95K529K
Unitedhealth Group Inc ComUNHShares$94K349K
Caterpillar Inc ComCATShares$91K129K
Hca Healthcare Inc ComHCAShares$90K190K
Qualcomm Inc ComQCOMShares$90K696K
Uber Technologies Inc ComUBERShares$84K1.2M
International Business Machs ComIBMShares$83K342K
Mcdonalds Corp ComMCDShares$83K266K
Pepsico Inc ComPEPShares$83K532K
Exlservice Hldgs Inc ComEXLSShares$83K2.7M
Bristol-Myers Squibb Co ComBMYShares$82K1.4M
Intel Corp ComINTCShares$82K1.9M
At&T Inc ComTShares$81K2.8M
Analog Devices Inc ComADIShares$81K253K
Vertiv Holdings Co Com Cl AVRTShares$80K320K
S&P Global Inc ComSPGIShares$80K188K
Citigroup Inc Com NewCShares$80K701K
Spotify Technology S A ShsShares$78K161K
Salesforce Inc ComCRMShares$77K414K
Royal Caribbean Group ComShares$77K281K
Verizon Communications Inc ComVZShares$77K1.5M
Morgan Stanley Com NewMSShares$75K458K
Texas Instrs Inc ComTXNShares$72K369K
Service Corp Intl ComSCIShares$70K850K
Deere & Co ComDEShares$68K121K
Xylem Inc ComXYLShares$67K563K
Union Pac Corp ComUNPShares$67K276K
Seagate Technology Hldngs Pl Ord SShares$64K164K
Core & Main Inc Cl ACNMShares$64K1.3M
Disney Walt Co ComDISShares$64K661K
Prologis Inc. ComPLDShares$63K477K
Ormat Technologies Inc ComORAShares$63K562K
Welltower Inc ComWELLShares$63K317K
Pfizer Inc ComPFEShares$63K2.2M
American Express Co ComAXPShares$62K205K
Darling Ingredients Inc ComDARShares$62K1.0M
Crowdstrike Hldgs Inc Cl ACRWDShares$61K157K
Nasdaq Inc ComNDAQShares$61K719K
Schwab Charles Corp ComSCHWShares$61K649K
Newmont Corp ComNEMShares$59K543K
Corning Inc ComGLWShares$57K421K
Rockwell Automation Inc ComROKShares$57K159K

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.