Institutional manager
Mitsubishi UFJ Asset Management Co., Ltd.
Holds positions in 488 of the S&P 500, worth $143.6bn as reported for the quarter ended 31-mar-2026.
Positions held488of 488 index companies covered
Reported value$143.6bnS&P 500 positions only
Top ten weight36%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.
NvidiaNVDA56.4m$9.84bnInformation TechnologyApple Inc.AAPL34.0m$8.62bnInformation TechnologyAlphabet Inc. (Class A)GOOGL27.5m$7.89bnCommunication ServicesMicrosoftMSFT19.2m$7.09bnInformation TechnologyAmazonAMZN25.8m$5.38bnConsumer DiscretionaryBroadcomAVGO11.0m$3.41bnInformation TechnologyMeta PlatformsMETA5.1m$2.92bnCommunication ServicesTesla, Inc.TSLA6.6m$2.46bnConsumer DiscretionaryVisa Inc.V6.6m$2.00bnFinancialsJPMorgan ChaseJPM6.2m$1.83bnFinancialsNetflixNFLX18.7m$1.80bnCommunication ServicesBerkshire HathawayBRK.B3.7m$1.75bnFinancialsLilly (Eli)LLY1.9m$1.73bnHealth CareExxonMobilXOM9.5m$1.62bnEnergyCoca-Cola Company (The)KO20.2m$1.54bnConsumer StaplesProcter & GamblePG10.0m$1.44bnConsumer StaplesJohnson & JohnsonJNJ5.7m$1.38bnHealth CareWalmartWMT10.5m$1.31bnConsumer StaplesCostcoCOST1.1m$1.07bnConsumer StaplesTexas InstrumentsTXN5.2m$1.00bnInformation TechnologyCaterpillar Inc.CAT1.4m$957mIndustrialsChevron CorporationCVX4.6m$952mEnergyPhilip Morris InternationalPM5.7m$941mConsumer StaplesMastercardMA1.9m$939mFinancialsThermo Fisher ScientificTMO1.9m$911mHealth CareIntercontinental ExchangeICE5.7m$901mFinancialsMicron TechnologyMU2.7m$897mInformation TechnologyAbbVieABBV4.0m$877mHealth CareS&P GlobalSPGI2.0m$868mFinancialsCME GroupCME2.8m$822mFinancialsAon plcAON2.5m$812mFinancialsGoldman SachsGS939,412$795mFinancialsPalantir TechnologiesPLTR5.4m$789mInformation TechnologyAdvanced Micro DevicesAMD3.8m$783mInformation TechnologyHome Depot (The)HD2.4m$778mConsumer DiscretionaryBank of AmericaBAC15.5m$755mFinancialsUberUBER10.3m$744mIndustrialsCiscoCSCO9.5m$735mInformation TechnologyMerck & Co.MRK5.8m$696mHealth CareLam ResearchLRCX3.2m$677mInformation TechnologyGE AerospaceGE2.4m$675mIndustrialsSynopsysSNPS1.7m$658mInformation TechnologyApplied MaterialsAMAT1.9m$646mInformation TechnologyUnitedHealth GroupUNH2.4m$641mHealth CareAutoZoneAZO177,699$600mConsumer DiscretionaryRTX CorporationRTX3.1m$594mIndustrialsOracle CorporationORCL4.0m$582mInformation TechnologyWells FargoWFC7.1m$562mFinancialsLinde plcLIN1.1m$551mMaterialsBooking HoldingsBKNG130,089$548mConsumer DiscretionaryIBMIBM2.3m$546mInformation TechnologyGE VernovaGEV622,912$544mIndustrialsMcDonald'sMCD1.7m$541mConsumer DiscretionaryPepsiCoPEP3.3m$505mConsumer StaplesAbbott LaboratoriesABT4.9m$505mHealth CareAmerican ExpressAXP1.7m$503mFinancialsZoetisZTS4.2m$502mHealth CareAmgenAMGN1.4m$486mHealth CareVerizonVZ9.7m$486mCommunication ServicesSterisSTE2.2m$485mHealth Care
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.
