Instuitional Investor - Nomura Asset Management Co Ltd

Fund Profile
Filing Period:
Fund Name: Nomura Asset Management Co Ltd
Portfolio Value $36,468,002,906
Filing Period:
No. Security Ticker Shares Value % Port
1. NVDA 18,658,903 $2,947,920,085 8.08%
2. MSFT 3,896,607 $1,938,211,288 5.31%
3. AVGO 5,314,062 $1,464,821,191 4.02%
4. AAPL 7,116,721 $1,460,137,649 4%
5. AMZN 4,630,697 $1,015,928,615 2.79%