Instuitional Investor - Apg Asset Management N.v.

Fund Profile
Filing Period:
Fund Name: Apg Asset Management N.v.
Portfolio Value $33,771,116,349
Filing Period:
No. Security Ticker Shares Value % Port
1. MSFT 6,339,274 $2,686,219,091 7.95%
2. NVDA 19,130,016 $2,574,733,763 7.62%
3. AAPL 10,917,706 $1,908,238,480 5.65%
4. AMZN 7,673,219 $1,434,107,864 4.25%
5. AVGO 5,005,563 $1,175,434,204 3.48%