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Intech Investment Management LLC

All holdings · as of Mar 31, 2026

2,091 positions

CompanyClassValueShares% of portfolio
NVIDIA Corp$657.08M3,767,6866.5%
MICROSOFT CORP$464.60M1,255,0944.6%
Apple Inc.$403.58M1,590,2224.0%
Alphabet Inc.$279.72M972,7392.8%
Broadcom Inc.$253.15M817,9132.5%
Alphabet Inc.$226.44M789,3852.2%
Meta Platforms Inc$189.58M331,3561.9%
Amazon.com Inc$168.20M807,5931.7%
ELI LILLY & Co$148.27M161,2011.5%
Tesla Inc$143.93M387,1661.4%
TIDAL TRUST III$114.74M4,875,1561.1%
Palantir Technologies Inc$96.52M659,8190.9%
CISCO SYSTEMS, INC.$74.78M963,8330.7%
TORONTO DOMINION BK ONT$65.91M708,0060.6%
American Tower Corp$65.05M376,9310.6%
3M CO$63.73M438,8030.6%
Booking Holdings Inc$63.02M14,9690.6%
MICRON TECHNOLOGY INC$62.99M186,4540.6%
Netflix Inc$58.44M607,8460.6%
BANK NOVA SCOTIA B C$57.39M830,1640.6%
THE GOLDMAN SACHS GROUP, INC.$57.03M67,4130.6%
GE Vernova Inc.$55.99M64,1380.6%
DEUTSCHE BK AG$54.03M1,867,2080.5%
ORACLE CORP$53.71M365,1110.5%
EOG RESOURCES INC$52.49M363,0870.5%
JOHNSON & JOHNSON$52.06M212,9570.5%
CITIGROUP INC$49.30M434,7100.5%
ADOBE INC.$48.31M198,7290.5%
Aon plc$46.62M144,4450.5%
LOCKHEED MARTIN CORP$42.96M71,0740.4%
SYSCO CORP$42.36M593,8690.4%
JPMORGAN CHASE & CO$41.46M140,9430.4%
Walmart Inc.$41.02M330,0600.4%
UNITEDHEALTH GROUP INC$39.88M147,3640.4%
ALLSTATE CORP$39.83M192,0840.4%
CATERPILLAR INC$38.16M53,8650.4%
PG&E Corp$37.08M2,110,5830.4%
Zoetis Inc.$36.87M311,8710.4%
AMERICAN EXPRESS CO$35.37M116,9450.3%
ROYAL BK CDA$35.23M218,6370.3%
Howmet Aerospace Inc.$34.60M150,1270.3%
MCKESSON CORP$34.53M39,8990.3%
Duke Energy Corp$33.25M253,9390.3%
Philip Morris International Inc.$32.80M198,3910.3%
CBRE Group Inc$32.64M240,9630.3%
DoorDash, Inc.$32.59M217,0370.3%
Keysight Technologies, Inc.$32.54M115,2380.3%
TRAVELERS COMPANIES, INC.$32.45M111,2590.3%
CARDINAL HEALTH INC$30.89M146,1830.3%
General Motors Co$30.63M411,1190.3%
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