Instuitional Investor - Nomura Asset Management Co Ltd

Fund Profile
Filing Period:
Fund Name: Nomura Asset Management Co Ltd
Portfolio Value $33,237,001,910
Filing Period:
No. Security Ticker Shares Value % Port
1. NVDA 17,200,404 $2,309,842,254 6.94%
2. AAPL 6,526,380 $1,634,336,080 4.91%
3. MSFT 3,812,711 $1,607,057,688 4.83%
4. AVGO 5,131,284 $1,189,636,883 3.57%
5. AMZN 4,400,725 $965,475,058 2.9%