Slice of Stock

Institutional manager

Amundi

Holds positions in 488 of the S&P 500, worth $308.7bn as reported for the quarter ended 31-mar-2026.

Positions held488of 488 index companies covered
Reported value$308.7bnS&P 500 positions only
Top ten weight38%how concentrated the book is
Filing entities1single filer

Largest positions

The 60 biggest by reported value, of 488 held. The rest are smaller than every one of these.

NvidiaNVDA133.8m$23.3bnInformation TechnologyApple Inc.AAPL73.1m$18.5bnInformation TechnologyMicrosoftMSFT41.7m$15.4bnInformation TechnologyAlphabet Inc. (Class A)GOOGL53.7m$15.4bnCommunication ServicesAmazonAMZN61.4m$12.8bnConsumer DiscretionaryTesla, Inc.TSLA22.2m$8.24bnConsumer DiscretionaryBroadcomAVGO26.1m$8.07bnInformation TechnologyMeta PlatformsMETA11.9m$6.78bnCommunication ServicesLilly (Eli)LLY5.1m$4.65bnHealth CareExxonMobilXOM24.5m$4.16bnEnergyJohnson & JohnsonJNJ13.4m$3.28bnHealth CareCostcoCOST2.8m$2.83bnConsumer StaplesAdvanced Micro DevicesAMD13.7m$2.78bnInformation TechnologyChevron CorporationCVX12.2m$2.52bnEnergyPalantir TechnologiesPLTR16.4m$2.40bnInformation TechnologyAbbVieABBV10.7m$2.33bnHealth CareBerkshire HathawayBRK.B4.7m$2.27bnFinancialsApplied MaterialsAMAT6.6m$2.24bnInformation TechnologyNetflixNFLX23.2m$2.23bnCommunication ServicesLam ResearchLRCX10.1m$2.17bnInformation TechnologyBank of AmericaBAC42.4m$2.07bnFinancialsJPMorgan ChaseJPM7.0m$2.05bnFinancialsMicron TechnologyMU6.0m$2.02bnInformation TechnologyVisa Inc.V6.6m$2.00bnFinancialsHome Depot (The)HD5.8m$1.91bnConsumer DiscretionaryWalmartWMT14.4m$1.79bnConsumer StaplesPepsiCoPEP11.4m$1.78bnConsumer StaplesTexas InstrumentsTXN9.1m$1.76bnInformation TechnologyGE AerospaceGE6.1m$1.74bnIndustrialsUnitedHealth GroupUNH6.4m$1.73bnHealth CareIntelINTC39.0m$1.72bnInformation TechnologyMastercardMA3.4m$1.71bnFinancialsMerck & Co.MRK13.8m$1.66bnHealth CareKLA CorporationKLAC1.1m$1.61bnInformation TechnologyAnalog DevicesADI5.0m$1.60bnInformation TechnologyGE VernovaGEV1.8m$1.58bnIndustrialsCaterpillar Inc.CAT2.2m$1.57bnIndustrialsLinde plcLIN3.2m$1.57bnMaterialsGilead SciencesGILD10.5m$1.47bnHealth CareRTX CorporationRTX7.5m$1.44bnIndustrialsOracle CorporationORCL9.7m$1.43bnInformation TechnologyCoca-Cola Company (The)KO18.8m$1.43bnConsumer StaplesCiscoCSCO18.1m$1.41bnInformation TechnologyGoldman SachsGS1.7m$1.40bnFinancialsTJX CompaniesTJX8.6m$1.38bnConsumer DiscretionaryCitigroupC12.1m$1.38bnFinancialsProcter & GamblePG9.2m$1.32bnConsumer StaplesWells FargoWFC16.5m$1.31bnFinancialsMcDonald'sMCD4.1m$1.26bnConsumer DiscretionaryServiceNowNOW11.5m$1.20bnInformation TechnologyAmgenAMGN3.4m$1.19bnHealth CareIBMIBM4.8m$1.16bnInformation TechnologyMorgan StanleyMS7.0m$1.15bnFinancialsAdobe Inc.ADBE4.7m$1.15bnInformation TechnologyPfizerPFE40.8m$1.15bnHealth CareIntuitive SurgicalISRG2.4m$1.12bnHealth CareArista NetworksANET9.1m$1.11bnInformation TechnologyWalt Disney Company (The)DIS11.3m$1.09bnCommunication ServicesAT&TT36.2m$1.05bnCommunication ServicesVerizonVZ20.2m$1.02bnCommunication Services

What this page is not

Positions in S&P 500 constituents only, from 13F filings, which report US listed, long, US custodied holdings. A manager's real book is larger than this in every case: anything outside the index, outside US custody, held through derivatives, or below its reporting obligation is not here.