Sumitomo Life Insurance Co

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

Reported value
$4.25B
Q ending 2026-03-31
Prior quarter
$3.65B
Q ending 2025-12-31
Change
+16.5% QoQ · +52.2% YoY
Positions
282
reported holdings

Largest positions

Top 100 of 282 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
Schwab Strategic Tr Us Dividend EqSCHDShares$1.39B45.5M
Ishares Tr Core S&P500 EtfIVVShares$672.2M1.0M
Ishares Tr Tips Bd EtfTIPShares$167.0M1.5M
Invesco Exchange Traded Fd T S&P50PBPShares$136.8M6.2M
Ishares Tr S&P 500 BuywriteIVVWShares$132.3M3.0M
Ishares Tr Jpmorgan Usd EmgEMBShares$125.7M1.3M
Nvidia Corporation ComNVDAShares$110.7M635K
Apple Inc ComAAPLShares$89.9M354K
Alphabet Inc Cap Stk Cl AGOOGLShares$74.2M258K
Global X Fds S&P 500 CoveredXYLDShares$66.9M1.7M
Microsoft Corp ComMSFTShares$65.8M178K
Amazon Com Inc ComAMZNShares$56.3M270K
Broadcom Inc ComAVGOShares$39.5M128K
Invesco Exch Traded Fd Tr Ii Sr LnBKLNShares$38.2M1.9M
Vanguard Intl Equity Index F Ftse VWOShares$37.2M688K
Eli Lilly & Co ComLLYShares$35.9M39K
Jpmorgan Chase & Co ComJPMShares$30.5M104K
Vanguard Whitehall Fds Em Mk Gov BVWOBShares$29.3M446K
Meta Platforms Inc Cl AMETAShares$26.5M46K
Schwab Strategic Tr Us Tips EtfSCHPShares$24.9M935K
Vanguard Index Fds S&P 500 Etf ShsVOOShares$24.9M42K
Mastercard Incorporated Cl AMAShares$24.5M49K
Vanguard Index Fds Real Estate EtfVNQShares$23.6M266K
Ishares Tr Broad Usd HighUSHYShares$22.5M611K
Walmart Inc ComWMTShares$22.1M178K
Ishares S&P Gsci Commodity- Unit BGSGShares$20.8M646K
Goldman Sachs Group Inc ComGSShares$20.8M25K
Alphabet Inc Cap Stk Cl CGOOGShares$20.2M70K
Spdr Index Shs Fds State Street SpFEZShares$19.9M321K
Nextera Energy Inc ComNEEShares$18.0M194K
Waste Mgmt Inc Del ComWMShares$17.3M75K
Thermo Fisher Scientific Inc ComTMOShares$16.9M34K
Cme Group Inc ComCMEShares$16.4M55K
Uber Technologies Inc ComUBERShares$15.3M213K
Procter & Gamble Co ComPGShares$14.9M103K
Ishares Tr Cre U S Reit EtfUSRTShares$14.8M250K
S&P Global Inc ComSPGIShares$14.8M35K
Vertiv Holdings Co Com Cl AVRTShares$14.1M56K
Mercadolibre Inc ComMELIShares$12.6M7K
Palo Alto Networks Inc ComPANWShares$12.5M78K
Ishares Inc Core Msci EmktIEMGShares$12.1M173K
Intuitive Surgical Inc Com NewISRGShares$12.0M26K
Ge Vernova Inc ComGEVShares$11.6M13K
Airbnb Inc Com Cl AABNBShares$10.8M86K
T-Mobile Us Inc ComTMUSShares$10.8M51K
Vulcan Matls Co ComVMCShares$10.6M39K
Sysco Corp ComSYYShares$9.9M139K
Boston Scientific Corp ComBSXShares$9.6M152K
Ishares Tr Us InfrastrucIFRAShares$9.5M166K
Tesla Inc ComTSLAShares$9.4M25K
Cadence Design System Inc ComCDNSShares$8.3M30K
Bank America Corp ComBACShares$7.8M160K
Exxon Mobil Corp ComXOMShares$7.8M46K
Zoetis Inc Cl AZTSShares$7.7M65K
Datadog Inc Cl A ComDDOGShares$7.2M61K
Johnson & Johnson ComJNJShares$6.5M27K
Visa Inc Com Cl AVShares$5.8M19K
Berkshire Hathaway Inc Del Cl B NeBRK/BShares$5.5M11K
Caterpillar Inc ComCATShares$5.3M8K
Paychex Inc ComPAYXShares$5.2M57K
Amphenol Corp Cl AAPHShares$5.1M41K
Williams Cos Inc ComWMBShares$5.1M70K
Quanta Svcs Inc ComPWRShares$5.0M9K
Abbvie Inc ComABBVShares$4.7M22K
Micron Technology Inc ComMUShares$4.7M14K
Philip Morris Intl Inc ComPMShares$4.6M28K
Costco Wholesale Corporation ComCOSTShares$4.6M5K
American Express Co ComAXPShares$4.5M15K
Chevron Corporation ComCVXShares$4.3M21K
Ge Aerospace Com NewGEShares$4.3M15K
Netflix Inc. ComNFLXShares$4.2M44K
Trane Technologies Plc ShsShares$4.2M10K
Parker-Hannifin Corp ComPHShares$4.2M5K
Eaton Corp Plc ShsShares$4.1M12K
Arista Networks Inc Com ShsANETShares$3.9M32K
Cisco Sys Inc ComCSCOShares$3.7M48K
Advanced Micro Devices Inc ComAMDShares$3.6M18K
Ecolab Inc ComECLShares$3.6M14K
Tjx Cos Inc New ComTJXShares$3.6M22K
Kla Corp Com NewKLACShares$3.6M2K
Home Depot Inc ComHDShares$3.6M11K
Comfort Sys Usa Inc ComFIXShares$3.5M3K
Palantir Technologies Inc Cl APLTRShares$3.5M24K
Vertex Pharmaceuticals Inc ComVRTXShares$3.5M8K
Morgan Stanley Com NewMSShares$3.4M21K
Howmet Aerospace Inc ComHWMShares$3.4M15K
Interactive Brokers Group In Com CIBKRShares$3.4M51K
Booking Holdings Inc ComBKNGShares$3.3M795
Bank New York Mellon Corp ComBNYShares$3.3M28K
Affirm Hldgs Inc Com Cl AAFRMShares$3.3M72K
Stryker Corporation ComSYKShares$3.3M10K
Eog Res Inc ComEOGShares$3.2M22K
Servicenow Inc ComNOWShares$3.2M30K
Mongodb Inc Cl AMDBShares$3.2M13K
Tko Group Holdings Inc Cl ATKOShares$3.2M16K
Newmont Corp ComNEMShares$3.1M54K
Wells Fargo & Co ComWFCShares$3.1M39K
Applovin Corp Com Cl AAPPShares$3.1M8K
Applied Matls Inc ComAMATShares$3.1M9K
Crowdstrike Hldgs Inc Cl ACRWDShares$3.1M8K

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.