StockScan > Holders > Asset Management One Co.

Asset Management One Co.'s Portfolio and 13F Filing

Value: $26.85B
CIK: 0001068855
Phone: 81-3-6774-5057
Address: Tekko Building, 11th Floor, Tokyo, M0 (100-0005)
Latest 13F Filing: 2020-10-01
Asset Management One Co.'s Stock Holdings & 13F Form
# Stock Name Symbol Current Price

Previous Holdings

(# Shares)

Current Holdings

(# Shares)

Current Value Percent
1 Microsoft Corporation MSFT $422.36 N/A 3,978,290 $1,680,270,564 6.26%
2 iShares Core S&P 500 ETF IVV $531.31 N/A 3,081,711 $1,637,343,871 6.10%
3 General Electric Company GE $160.38 N/A 4,421,891 $709,182,879 2.64%
4 Vanguard FTSEEuropean ETF VGK $70.23 N/A 7,717,426 $541,994,828 2.02%
5 iShares Core MSCI Emerging Mark IEMG $54.51 N/A 9,917,822 $540,620,477 2.01%
6 Apple Inc. AAPL $190.47 N/A 2,395,848 $456,325,189 1.70%
7 Eli Lilly and Company LLY $781.29 N/A 517,321 $404,175,137 1.51%
8 JP Morgan Chase & Co. JPM $200.04 N/A 1,723,418 $344,752,537 1.28%
9 Visa Inc. V $281.31 N/A 1,155,574 $325,074,522 1.21%
10 NVIDIA Corporation NVDA $945.41 N/A 322,798 $305,176,457 1.14%
11 BROADCOM CORP COM USD1.00 AVGO $1,420.18 N/A 214,151 $304,132,967 1.13%
12 Berkshire Hathaway Inc BRK.B $411.83 N/A 720,032 $296,530,779 1.10%
13 UnitedHealth Group Incorporated UNH $517.83 N/A 535,871 $277,490,080 1.03%
14 Facebook, Inc. FB $208.28 N/A 1,329,122 $276,829,530 1.03%
15 Exxon Mobil Corporation XOM $118.36 N/A 2,251,963 $266,542,341 0.99%
16 Mastercard Incorporated MA $456.63 N/A 567,979 $259,356,251 0.97%
17 The Procter Gamble Company PG $166.30 N/A 1,558,152 $259,120,678 0.97%
18 Johnson & Johnson JNJ $152.26 N/A 1,618,231 $246,396,869 0.92%
19 The Home Depot Inc HD $348.45 N/A 689,715 $240,331,192 0.90%
20 Costco Wholesale Corporation COST $788.61 N/A 290,912 $229,416,112 0.85%