Institutions / KBC Group NV

KBC Group NV

CIK 1411133 · Institution · as of Dec 31, 2025
Portfolio value
$43.85M
Positions
1,728
As of
Dec 31, 2025

Portfolio trend

Portfolio value

$43.85M+5.2%
$43.85M$42.78M$41.70MQ3 '25Q4 '25

Positions

1,728+0.1%
1,7281,7281,727Q3 '25Q4 '25

Top holdings

Dec 31, 2025View all 1,728 →
CompanyClassValueShares% of portfolio
NVIDIA Corp$3.16M16,968,7297.2%
Alphabet Inc.$2.74M8,738,8156.3%
Microsoft Corp$2.72M5,625,0986.2%
Apple Inc.$1.92M7,044,6974.4%
Amazon.com Inc$1.74M7,558,7954.0%
Broadcom Inc.$1.37M3,946,8013.1%
Meta Platforms Inc$1.13M1,719,1042.6%
JPMORGAN CHASE & CO$878.2K2,725,3222.0%
ELI LILLY & Co$756.6K704,0171.7%
Tesla Inc$582.2K1,294,5721.3%
Bank of America Corp /De$502.8K9,141,9321.1%
Johnson & Johnson$475.3K2,296,8311.1%
Visa Inc$463.5K1,321,6401.1%
Citigroup Inc$448.1K3,839,8801.0%
Abbott Laboratories$430.4K2,320,3061.0%
Alphabet Inc.$415.4K1,327,1490.9%
Netflix Inc$400.3K4,268,9570.9%
Gilead Sciences, Inc.$398.2K3,244,6260.9%
Micron Technology Inc$367.5K1,287,4600.8%
Morgan Stanley$321.6K1,811,3710.7%
Linde PLC$291.0K682,4600.7%
Salesforce Inc$290.4K1,096,2160.7%
Boston Scientific Corp$290.3K3,044,3850.7%
Oracle Corp$263.4K1,351,3580.6%
Uber Technologies, Inc$262.6K3,213,7720.6%

Activity

InsidersInstitutions
This fund's 13F position changes — what it's buying and selling.
DateActionCompanyValueShares ΔPosition afterImpact
Q4 2025
as of
AddNetflix Inc$352.9K+3.8M
+745.05%
4,268,957
0.91% of portfolio
low
Q4 2025
as of
ExitAbbVie Inc.$-261.5K-1.1M
-100.00%
low
Q4 2025
as of
AddAbbott Laboratories$241.0K+1.3M
+127.26%
2,320,306
0.98% of portfolio
low
Q4 2025
as of
AddMicron Technology Inc$184.4K+646K
+100.69%
1,287,460
0.84% of portfolio
low
Q4 2025
as of
TrimTMUS
T-Mobile US, Inc.
Common Stock
$-159.6K-786K
-78.54%
214,785
0.10% of portfolio
low
Q4 2025
as of
AddFerguson Enterprises Inc. /DE$122.0K+548K
+504.21%
656,727
0.33% of portfolio
low
Q4 2025
as of
TrimVerizon Communications Inc$-114.8K-2.8M
-54.73%
2,330,651
0.22% of portfolio
low
Q4 2025
as of
AddAdvanced Micro Devices Inc$102.4K+478K
+66.06%
1,202,094
0.59% of portfolio
low
Q4 2025
as of
AddGE Vernova Inc.$101.8K+156K
+202.70%
232,669
0.35% of portfolio
low
Q4 2025
as of
AddServiceNow Inc$98.9K+646K
+405.50%
804,989
0.28% of portfolio
low