Ticker | $ Bought |
---|---|
wells fargo co new | 34,611,500 |
disney walt co | 32,287,800 |
lam research corp | 18,563,200 |
docusign inc | 8,493,930 |
medtronic plc | 8,006,430 |
pnc finl svcs group inc | 5,787,430 |
targa res corp | 3,694,950 |
lululemon athletica inc | 902,488 |
Ticker | % Inc. |
---|---|
cbre group inc | 269 |
goldman sachs group inc | 93.47 |
constellation energy corp | 83.51 |
3m co | 71.32 |
target corp | 40.84 |
tesla inc | 30.97 |
analog devices inc | 22.49 |
sherwin williams co | 17.35 |
Ticker | % Reduced |
---|---|
s&p global inc | -86.28 |
ptc inc | -83.42 |
essex ppty tr inc | -82.27 |
nextera energy inc | -79.72 |
intercontinental exchange in | -70.07 |
otis worldwide corp | -62.88 |
technipfmc plc | -50.1 |
procter and gamble co | -46.81 |
Ticker | $ Sold |
---|---|
new york times co | -12,829,200 |
aes corp | -1,037,100 |
wingstop inc | -17,916,400 |
lam research corp | -19,765,700 |
exelon corp | -901,427 |
cheniere energy inc | -3,271,290 |
hca healthcare inc | -6,413,460 |
lattice semiconductor corp | -504,165 |
Nippon Life Global Investors Americas, Inc. has about 32.5% of it's holdings in Technology sector.
Sector | % |
---|---|
Technology | 32.5 |
Consumer Cyclical | 11.2 |
Healthcare | 10.7 |
Financial Services | 10.4 |
Communication Services | 10 |
Industrials | 8.4 |
Consumer Defensive | 5.4 |
Others | 2.8 |
Real Estate | 2.5 |
Energy | 2.3 |
Basic Materials | 2 |
Utilities | 1.9 |
Nippon Life Global Investors Americas, Inc. has about 95.3% of it's portfolio invested in the large-cap and mega-cap stocks.
Category | % |
---|---|
MEGA-CAP | 51.7 |
LARGE-CAP | 43.6 |
UNALLOCATED | 2.8 |
MID-CAP | 1.9 |
About 90.4% of the stocks held by Nippon Life Global Investors Americas, Inc. either belong to S&P 500 or RUSSELL 2000 index.
Index | % |
---|---|
S&P 500 | 90.4 |
Others | 9.6 |
This heatmap illustrates the top 50 positions within the fund's portfolio.
Nippon Life Global Investors Americas, Inc. has 103 stocks in it's portfolio. About 45% of the portfolio is in top 10 stocks. TMO proved to be the most loss making stock for the portfolio. MRVL was the most profitable stock for Nippon Life Global Investors Americas, Inc. last quarter.
Last Reported on: 14 Feb, 2025Ticker | Namesorted ascending | % Portfolio | Shares Held | $ Value | Type | % Change | Options | |
---|---|---|---|---|---|---|---|---|
AAPL | apple inc | 4.53 | 392,380 | 98,259,800 | reduced | -9.03 | ||
ABBV | abbvie inc | 0.35 | 43,260 | 7,687,300 | reduced | -20.42 | ||
ACN | accenture plc ireland | 0.07 | 4,070 | 1,431,780 | reduced | -21.43 | ||
ADI | analog devices inc | 0.04 | 4,140 | 879,584 | added | 22.49 | ||
AES | aes corp | 0.00 | 0.00 | 0.00 | sold off | -100 | ||
AIZ | assurant inc | 0.04 | 4,240 | 904,053 | reduced | -29.68 | ||
AMAT | applied matls inc | 0.00 | 0.00 | 0.00 | sold off | -100 | ||
AMD | advanced micro devices inc | 0.00 | 0.00 | 0.00 | sold off | -100 | ||
AME | ametek inc | 0.06 | 7,200 | 1,297,870 | added | 5.73 | ||
AMP | ameriprise finl inc | 0.69 | 28,110 | 14,966,600 | reduced | -10.19 | ||
AMT | american tower corp new | 0.07 | 8,290 | 1,532,560 | added | 9.51 | ||
AMZN | amazon com inc | 5.17 | 511,480 | 112,214,000 | reduced | -10.4 | ||
AON | aon plc | 0.36 | 21,660 | 7,779,410 | reduced | -31.99 | ||
APH | amphenol corp new | 0.39 | 120,570 | 8,391,490 | reduced | -9.74 | ||
AVGO | broadcom inc | 0.16 | 15,470 | 3,586,560 | added | 6.4 | ||
AXP | american express co | 0.69 | 50,060 | 14,857,300 | reduced | -11.07 | ||
AZO | autozone inc | 0.46 | 3,110 | 9,958,220 | reduced | -6.33 | ||
BAC | bank america corp | 1.36 | 670,800 | 29,481,700 | reduced | -2.67 | ||
BDX | becton dickinson & co | 0.41 | 39,030 | 8,854,740 | added | 1.8 | ||
BKNG | booking holdings inc | 0.03 | 110 | 546,526 | reduced | -38.89 | ||