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.
| Holding | Ticker | Type | Value ▼ | Shares |
|---|---|---|---|---|
| Nvidia Corporation Com | NVDA | Shares | $2.0M | 11.4M |
| Apple Inc Com | AAPL | Shares | $1.8M | 7.1M |
| Microsoft Corp Com | MSFT | Shares | $1.4M | 3.7M |
| Amazon Com Inc Com | AMZN | Shares | $1.1M | 5.1M |
| Alphabet Inc Cap Stk Cl A | GOOGL | Shares | $827K | 2.9M |
| Alphabet Inc Cap Stk Cl C | GOOG | Shares | $819K | 2.9M |
| Broadcom Inc Com | AVGO | Shares | $813K | 2.6M |
| Eli Lilly & Co Com | LLY | Shares | $652K | 709K |
| Meta Platforms Inc Cl A | META | Shares | $646K | 1.1M |
| Johnson & Johnson Com | JNJ | Shares | $474K | 1.9M |
| Jpmorgan Chase & Co Com | JPM | Shares | $462K | 1.6M |
| Netflix Inc. Com | NFLX | Shares | $323K | 3.4M |
| Thermo Fisher Scientific Inc Com | TMO | Shares | $312K | 635K |
| Abbvie Inc Com | ABBV | Shares | $300K | 1.4M |
| Mastercard Incorporated Cl A | MA | Shares | $262K | 524K |
| Berkshire Hathaway Inc Del Cl B Ne | BRK/B | Shares | $250K | 521K |
| Nextpower Inc Class A Com | NXT | Shares | $244K | 2.0M |
| Merck & Co Inc Com | MRK | Shares | $224K | 1.9M |
| Bank America Corp Com | BAC | Shares | $224K | 4.6M |
| Walmart Inc Com | WMT | Shares | $219K | 1.8M |
| Micron Technology Inc Com | MU | Shares | $200K | 593K |
| Cisco Sys Inc Com | CSCO | Shares | $198K | 2.5M |
| Visa Inc Com Cl A | V | Shares | $196K | 647K |
| Taiwan Semiconductor Manufac Spons | TSM | Shares | $184K | 544K |
| Home Depot Inc Com | HD | Shares | $181K | 552K |
| Advanced Micro Devices Inc Com | AMD | Shares | $170K | 836K |
| Boston Scientific Corp Com | BSX | Shares | $162K | 2.6M |
| Intuitive Surgical Inc Com New | ISRG | Shares | $162K | 351K |
| Mckesson Corp Com | MCK | Shares | $160K | 185K |
| Arista Networks Inc Com Shs | ANET | Shares | $157K | 1.3M |
| Bloom Energy Corp Com Cl A | BE | Shares | $153K | 1.1M |
| Gilead Sciences Inc Com | GILD | Shares | $147K | 1.1M |
| Alibaba Group Hldg Ltd Sponsored A | BABA | Shares | $137K | 1.1M |
| Procter & Gamble Co Com | PG | Shares | $135K | 936K |
| Lam Research Corp Com New | LRCX | Shares | $128K | 600K |
| Applied Matls Inc Com | AMAT | Shares | $122K | 357K |
| Coca Cola Co Com | KO | Shares | $122K | 1.6M |
| Abbott Laboratories Com | ABT | Shares | $121K | 1.2M |
| Quanta Svcs Inc Com | PWR | Shares | $117K | 214K |
| Kla Corp Com New | KLAC | Shares | $117K | 80K |
| First Solar Inc Com | FSLR | Shares | $117K | 594K |
| Intuit Com | INTU | Shares | $116K | 268K |
| Palo Alto Networks Inc Com | PANW | Shares | $116K | 724K |
| Linde Plc Shs | Shares | $111K | 223K | |
| Oracle Corp Com | ORCL | Shares | $110K | 747K |
| Amgen Inc Com | AMGN | Shares | $105K | 300K |
| Booking Holdings Inc Com | BKNG | Shares | $103K | 25K |
| Cencora Inc Com | COR | Shares | $103K | 327K |
| Henry Jack & Assoc Inc Com | JKHY | Shares | $102K | 646K |
| Credicorp Ltd Com | Shares | $101K | 299K | |
| Edwards Lifesciences Corp Com | EW | Shares | $101K | 1.3M |
| Tjx Cos Inc New Com | TJX | Shares | $101K | 631K |
| Vertex Pharmaceuticals Inc Com | VRTX | Shares | $99K | 221K |
| Goldman Sachs Group Inc Com | GS | Shares | $98K | 116K |
| Regeneron Pharmaceuticals Com | REGN | Shares | $97K | 125K |
| Wells Fargo & Co Com | WFC | Shares | $96K | 1.2M |
| Servicenow Inc Com | NOW | Shares | $96K | 915K |
| Stryker Corporation Com | SYK | Shares | $95K | 290K |
| Albemarle Corp Com | ALB | Shares | $95K | 529K |
| Unitedhealth Group Inc Com | UNH | Shares | $94K | 349K |
| Caterpillar Inc Com | CAT | Shares | $91K | 129K |
| Hca Healthcare Inc Com | HCA | Shares | $90K | 190K |
| Qualcomm Inc Com | QCOM | Shares | $90K | 696K |
| Uber Technologies Inc Com | UBER | Shares | $84K | 1.2M |
| International Business Machs Com | IBM | Shares | $83K | 342K |
| Mcdonalds Corp Com | MCD | Shares | $83K | 266K |
| Pepsico Inc Com | PEP | Shares | $83K | 532K |
| Exlservice Hldgs Inc Com | EXLS | Shares | $83K | 2.7M |
| Bristol-Myers Squibb Co Com | BMY | Shares | $82K | 1.4M |
| Intel Corp Com | INTC | Shares | $82K | 1.9M |
| At&T Inc Com | T | Shares | $81K | 2.8M |
| Analog Devices Inc Com | ADI | Shares | $81K | 253K |
| Vertiv Holdings Co Com Cl A | VRT | Shares | $80K | 320K |
| S&P Global Inc Com | SPGI | Shares | $80K | 188K |
| Citigroup Inc Com New | C | Shares | $80K | 701K |
| Spotify Technology S A Shs | Shares | $78K | 161K | |
| Salesforce Inc Com | CRM | Shares | $77K | 414K |
| Royal Caribbean Group Com | Shares | $77K | 281K | |
| Verizon Communications Inc Com | VZ | Shares | $77K | 1.5M |
| Morgan Stanley Com New | MS | Shares | $75K | 458K |
| Texas Instrs Inc Com | TXN | Shares | $72K | 369K |
| Service Corp Intl Com | SCI | Shares | $70K | 850K |
| Deere & Co Com | DE | Shares | $68K | 121K |
| Xylem Inc Com | XYL | Shares | $67K | 563K |
| Union Pac Corp Com | UNP | Shares | $67K | 276K |
| Seagate Technology Hldngs Pl Ord S | Shares | $64K | 164K | |
| Core & Main Inc Cl A | CNM | Shares | $64K | 1.3M |
| Disney Walt Co Com | DIS | Shares | $64K | 661K |
| Prologis Inc. Com | PLD | Shares | $63K | 477K |
| Ormat Technologies Inc Com | ORA | Shares | $63K | 562K |
| Welltower Inc Com | WELL | Shares | $63K | 317K |
| Pfizer Inc Com | PFE | Shares | $63K | 2.2M |
| American Express Co Com | AXP | Shares | $62K | 205K |
| Darling Ingredients Inc Com | DAR | Shares | $62K | 1.0M |
| Crowdstrike Hldgs Inc Cl A | CRWD | Shares | $61K | 157K |
| Nasdaq Inc Com | NDAQ | Shares | $61K | 719K |
| Schwab Charles Corp Com | SCHW | Shares | $61K | 649K |
| Newmont Corp Com | NEM | Shares | $59K | 543K |
| Corning Inc Com | GLW | Shares | $57K | 421K |
| Rockwell Automation Inc Com | ROK | Shares | $57K | 159K |
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.