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Asahi Life Asset Management Co., Ltd.

All holdings · as of Dec 31, 2025

156 positions

CompanyClassValueShares% of portfolio
MICROSOFT CORP$10.38M21,4595.8%
NVIDIA Corp$10.25M54,9725.7%
Apple Inc.$9.73M35,8015.4%
THE GOLDMAN SACHS GROUP, INC.$7.46M8,4874.2%
Alphabet Inc.$6.51M20,7893.6%
Amazon.com Inc$6.02M26,0873.4%
CATERPILLAR INC$5.04M8,7992.8%
JPMORGAN CHASE & CO$4.02M12,4672.2%
Visa Inc$3.72M10,6112.1%
HOME DEPOT, INC.$3.56M10,3572.0%
AMGEN INC$3.42M10,4621.9%
AMERICAN EXPRESS CO$3.14M8,4871.8%
Broadcom Inc.$3.14M9,0591.7%
Salesforce Inc$3.07M11,5711.7%
Meta Platforms Inc$3.02M4,5701.7%
UNITEDHEALTH GROUP INC$3.01M9,1051.7%
SHERWIN WILLIAMS CO$2.75M8,4871.5%
INTERNATIONAL BUSINESS MACHINES CORP$2.70M9,1261.5%
MCDONALD'S CORP$2.59M8,4871.4%
TRAVELERS COMPANIES, INC.$2.46M8,4871.4%
Tesla Inc$2.34M5,2001.3%
JOHNSON & JOHNSON$2.32M11,2231.3%
Walmart Inc.$2.19M19,6131.2%
CHEVRON CORP$2.18M14,2771.2%
ELI LILLY & Co$1.93M1,7931.1%
The Boeing Company$1.84M8,4871.0%
PROCTER & GAMBLE Co$1.82M12,7281.0%
HONEYWELL INTERNATIONAL INC$1.66M8,4870.9%
CISCO SYSTEMS, INC.$1.57M20,3640.9%
3M CO$1.36M8,4870.8%
EXXON MOBIL CORP$1.30M10,8380.7%
COCA COLA CO$1.11M15,9350.6%
BANK OF AMERICA CORP /DE$1.09M19,8470.6%
AbbVie Inc.$1.07M4,6840.6%
MICRON TECHNOLOGY INC$1.02M3,5850.6%
Merck & Co., Inc.$1.02M9,7200.6%
ADVANCED MICRO DEVICES INC$978.9K4,5710.5%
VERIZON COMMUNICATIONS INC$970.5K23,8270.5%
Walt Disney Co$965.6K8,4870.5%
Warren E. Buffett$946.5K1,8830.5%
WELLS FARGO & COMPANY/MN$927.4K9,9510.5%
GENERAL ELECTRIC CO$925.6K3,0050.5%
CITIGROUP INC$800.3K6,8580.4%
RTX Corp$799.3K4,3580.4%
COSTCO WHOLESALE CORP /NEW$714.9K8290.4%
QUALCOMM INC/DE$714.0K4,1740.4%
Intuitive Surgical Inc$713.0K1,2590.4%
Accenture plc$702.4K2,6180.4%
CAPITAL ONE FINANCIAL CORP$697.8K2,8790.4%
GE Vernova Inc.$680.4K1,0410.4%
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