Instuitional Investor - Resona Asset Management Co.,ltd.

Fund Profile
Filing Period:
Fund Name: Resona Asset Management Co.,ltd.
Portfolio Value $21,096,723,954
Filing Period:
No. Security Ticker Shares Value % Port
1. NVDA 8,342,534 $1,549,750,387 7.35%
2. MSFT 2,333,703 $1,207,439,964 5.72%
3. AAPL 4,713,024 $1,199,925,733 5.69%
4. AMZN 3,262,989 $717,957,027 3.4%
5. META 691,280 $508,663,932 2.41%