Instuitional Investor - Resona Asset Management Co.,ltd.

Fund Profile
Filing Period:
Fund Name: Resona Asset Management Co.,ltd.
Portfolio Value $16,904,301,607
Filing Period:
No. Security Ticker Shares Value % Port
1. AAPL 4,447,592 $1,116,983,455 6.6%
2. NVDA 7,867,025 $1,059,647,910 6.26%
3. MSFT 2,174,415 $919,340,660 5.43%
4. AMZN 2,952,074 $649,581,593 3.84%
5. META 647,406 $380,349,344 2.25%