Instuitional Investor - Nomura Asset Management Co Ltd

Fund Profile
Filing Period:
Fund Name: Nomura Asset Management Co Ltd
Portfolio Value $39,506,039,644
Filing Period:
No. Security Ticker Shares Value % Port
1. NVDA 18,466,669 $3,444,033,771 8.72%
2. MSFT 3,972,582 $1,921,220,107 4.86%
3. AAPL 6,951,830 $1,889,924,503 4.78%
4. AVGO 5,421,249 $1,876,294,278 4.75%
5. AMZN 4,850,020 $1,119,481,616 2.83%