StockScan > Holders > Amundi Pioneer Asset Management

Amundi Pioneer Asset Management's Portfolio and 13F Filing

Value: $127.07B
CIK: 0001102598
Phone: 617 422-4935
Address: 60 State Street, Boston, MA (02109)
Latest 13F Filing:
Amundi Pioneer Asset Management's Stock Holdings & 13F Form
# Stock Name Symbol Current Price

Previous Holdings

(# Shares)

Current Holdings

(# Shares)

Current Value Percent
1 Microsoft Corporation MSFT $406.32 20,522,870

22,261,042

up arrow 1,738,172

$9,045,106,585 7.12%
2 Apple Inc. AAPL $169.30 8,883,812

32,378,526

up arrow 23,494,714

$5,481,684,452 4.31%
3 Eli Lilly and Company LLY $733.51 4,196,478

4,085,192

up arrow -111,286

$2,996,529,184 2.36%
4 General Electric Company GE $162.35 4,325,670

13,543,647

up arrow 9,217,977

$2,198,811,090 1.73%
5 Linde plc Ordinary Share LIN $443.18 4,268,342

4,837,831

up arrow 569,489

$2,144,029,943 1.69%
6 Mastercard Incorporated MA $462.42 3,505,017

4,175,126

up arrow 670,109

$1,930,661,765 1.52%
7 Exxon Mobil Corporation XOM $117.96 4,749,400

15,656,605

up arrow 10,907,205

$1,846,853,126 1.45%
8 The Home Depot Inc HD $335.09 4,498,175

4,851,924

up arrow 353,749

$1,625,831,213 1.28%
9 Merck & Company, Inc. (new) MRK $131.20 8,860,667

11,822,416

up arrow 2,961,749

$1,551,100,979 1.22%
10 Visa Inc. V $274.52 4,949,942

5,405,460

up arrow 455,518

$1,483,906,879 1.17%
11 NVIDIA Corporation NVDA $877.35 1,795,963

1,504,217

up arrow -291,746

$1,319,724,785 1.04%
12 QUALCOMM Incorporated QCOM $165.66 1,413,321

7,682,676

up arrow 6,269,355

$1,272,712,106 1.00%
13 Chevron Corporation CVX $165.89 2,498,863

7,625,448

up arrow 5,126,585

$1,264,985,569 1.00%
14 Lam Research Corporation LRCX $925.37 1,642,190

1,348,208

up arrow -293,982

$1,247,591,237 0.98%
15 Pepsico, Inc. PEP $175.58 6,474,872

7,054,370

up arrow 579,498

$1,238,606,285 0.97%
16 Caterpillar, Inc. CAT $343.38 2,002,735

3,444,897

up arrow 1,442,162

$1,182,908,732 0.93%
17 Bank of America Corporation BAC $37.83 29,236,257

29,832,458

up arrow 596,201

$1,128,561,886 0.89%
18 Booking Holdings Inc. BKNG $3,521.08 263,592

304,540

up arrow 40,948

$1,072,309,703 0.84%
19 Accenture plc Class A Ordinary ACN $308.01 2,733,035

3,471,704

up arrow 738,669

$1,069,319,549 0.84%
20 Thermo Fisher Scientific Inc TMO $573.60 1,741,993

1,803,989

up arrow 61,996

$1,034,768,090 0.81%