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Mitsubishi UFJ Asset Management Co., Ltd.
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Back to Mitsubishi UFJ Asset Management Co., Ltd.
MU
Mitsubishi UFJ Asset Management Co., Ltd.
Quarter-over-quarter position changes
1,284 changes
All actions
All impact
Action
Company
Quarter
↓
Δ shares
Δ %
Held after
Flow
Impact
Added
Amazon.com Inc
Jun 30, 2026
+6,408,181
+30%
27,823,553
$1.53B
high
Added
Apple Inc.
Jun 30, 2026
+4,737,677
+15%
36,594,139
$1.37B
high
Added
NVIDIA Corp
Jun 30, 2026
+6,703,706
+13%
59,298,961
$1.34B
high
Added
KLA CORP
Jun 30, 2026
+3,043,677
>1000%
3,337,436
$918.31M
high
Added
Netflix Inc
Jun 30, 2026
+11,406,866
+122%
20,746,540
$814.45M
high
Added
Alphabet Inc.
Jun 30, 2026
+1,894,889
+12%
17,724,321
$677.18M
high
Added
Broadcom Inc.
Jun 30, 2026
+1,541,131
+15%
11,800,351
$582.16M
high
Trimmed
Arthur J. Gallagher & Co.
Jun 30, 2026
-2,431,051
-80%
625,018
$558.10M
high
Added
MICROSOFT CORP
Jun 30, 2026
+1,481,396
+7.9%
20,161,916
$552.60M
high
Added
Alphabet Inc.
Jun 30, 2026
+1,402,354
+14%
11,763,766
$495.49M
high
Added
MICRON TECHNOLOGY INC
Jun 30, 2026
+404,894
+16%
2,876,227
$467.37M
high
Added
Meta Platforms Inc
Jun 30, 2026
+793,755
+17%
5,539,703
$447.15M
high
Added
Booking Holdings Inc
Jun 30, 2026
+2,502,058
>1000%
2,652,172
$445.97M
high
Added
Tesla Inc
Jun 30, 2026
+973,154
+16%
7,122,168
$409.31M
high
Trimmed
AUTOMATIC DATA PROCESSING INC
Jun 30, 2026
-1,822,405
-62%
1,107,309
$408.13M
high
Trimmed
TEXAS INSTRUMENTS INC
Jun 30, 2026
-1,340,206
-25%
4,044,637
$399.48M
high
Added
Marvell Technology, Inc.
Jun 30, 2026
+1,276,237
+139%
2,192,031
$380.18M
high
Added
Cencora Inc
Jun 30, 2026
+1,308,958
+327%
1,709,563
$370.41M
high
Added
ADVANCED MICRO DEVICES INC
Jun 30, 2026
+582,463
+16%
4,162,609
$338.36M
high
Exited
HONEYWELL INTERNATIONAL INC
Jun 30, 2026
-1,683,119
-100%
0
$329.79M
high
Trimmed
ROPER TECHNOLOGIES INC
Jun 30, 2026
-964,341
-78%
268,074
$326.32M
high
Added
ELI LILLY & Co
Jun 30, 2026
+262,420
+15%
2,013,696
$314.75M
high
Added
Aon plc
Jun 30, 2026
+941,025
+52%
2,753,913
$312.13M
high
Added
MCKESSON CORP
Jun 30, 2026
+395,161
+151%
656,084
$298.58M
high
Added
JPMORGAN CHASE & CO
Jun 30, 2026
+777,688
+13%
6,645,272
$254.56M
high
Trimmed
ABBOTT LABORATORIES
Jun 30, 2026
-2,695,226
-39%
4,303,186
$244.56M
high
Added
INTEL CORP
Jun 30, 2026
+1,677,602
+17%
11,626,397
$234.24M
high
Trimmed
Zoetis Inc.
Jun 30, 2026
-3,170,181
-75%
1,070,271
$227.81M
high
Added
Walmart Inc.
Jun 30, 2026
+1,925,709
+20%
11,328,435
$218.11M
high
Trimmed
BROADRIDGE FINANCIAL SOLUTIONS INC
Jun 30, 2026
-1,574,809
-84%
291,186
$215.67M
high
Added
Ferguson Enterprises Inc. /DE
Jun 30, 2026
+902,525
+436%
1,109,410
$214.09M
high
Added
Visa Inc
Jun 30, 2026
+608,198
+9.4%
7,050,013
$208.67M
high
New
HONEYWELL INTERNATIONAL INC
Jun 30, 2026
+929,982
New
929,982
$208.20M
high
New
Honeywell Aerospace Inc.
HONA
Jun 30, 2026
+929,990
New
929,990
$205.66M
high
Added
Philip Morris International Inc.
Jun 30, 2026
+1,119,635
+21%
6,365,306
$202.55M
high
Added
JOHNSON & JOHNSON
Jun 30, 2026
+796,570
+15%
6,075,370
$202.30M
high
Added
APPLIED MATERIALS INC /DE
Jun 30, 2026
+268,229
+15%
2,034,179
$193.80M
high
Added
Vertiv Holdings Co
Jun 30, 2026
+559,814
+159%
911,851
$187.44M
high
Added
Palo Alto Networks Inc
Jun 30, 2026
+545,037
+35%
2,090,819
$185.87M
high
Added
COHERENT CORP
Jun 30, 2026
+424,074
+816%
476,061
$167.28M
high
Added
LUMENTUM HLDGS INC
Jun 30, 2026
+191,942
>1000%
197,428
$164.70M
high
Added
EXXON MOBIL CORP
Jun 30, 2026
+1,183,377
+13%
10,154,212
$161.79M
high
Added
CISCO SYSTEMS, INC.
Jun 30, 2026
+1,343,068
+15%
10,176,574
$157.75M
high
Added
UNITEDHEALTH GROUP INC
Jun 30, 2026
+362,024
+16%
2,563,973
$150.47M
high
Added
AbbVie Inc.
Jun 30, 2026
+588,037
+16%
4,340,720
$147.97M
high
Added
COSTCO WHOLESALE CORP /NEW
Jun 30, 2026
+154,842
+15%
1,160,998
$144.84M
high
Added
STERIS plc
Jun 30, 2026
+656,546
+43%
2,200,220
$138.25M
high
Added
LAM RESEARCH CORP
Jun 30, 2026
+318,692
+11%
3,312,931
$138.10M
high
Added
GENERAL ELECTRIC CO
Jun 30, 2026
+320,299
+14%
2,548,756
$119.71M
high
Added
HOME DEPOT, INC.
Jun 30, 2026
+329,382
+15%
2,541,157
$116.17M
high
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