UBS 자산운용 아메리카
UBS AM, a distinct business unit of UBS ASSET MANAGEMENT AMERICAS LLC이 항목은 UBS Group 전체가 아니라 UBS Asset Management Americas LLC의 별도 13F 제출자입니다. UBS Group combination report도 이 법인을 별도 운용자로 지목하므로, 두 항목을 독립 포트폴리오처럼 합산하지 말고 정보표 번호로 귀속분을 대조해야 합니다.
글로벌 자산운용 · CIK 0000861177- 총 보유 가치
- $481B
- 13F 공시 평가액
- 보유 가치 증감
- +1.7%
- 전분기 대비
- 보유 종목 수
- 3,807개
- 상위 50개 제공
보유 종목
평가액 상위 50개 · 전체 보유 가치의 54.5%
- 1NVDANVIDIA CORP확대+1.6%
NVIDIA CORP
확대+1.6%2억주· +309.5만주$34.7B
비중 7.64% · 2억주
7.64%· -0.49%p - 2AAPLAPPLE INC확대+0%
APPLE INC
확대+0%1.1억주· +4.5만주$26.8B
비중 5.89% · 1.1억주
5.89%· -0.49%p - 3MSFTMICROSOFT CORP확대+6.1%
MICROSOFT CORP
확대+6.1%6383.2만주· +365.9만주$23.6B
비중 5.2% · 6383.2만주
5.2%· -1.27%p - 4AMZNAMAZON COM INC확대+5.8%
AMAZON COM INC
확대+5.8%7387만주· +403만주$15.4B
비중 3.39% · 7387만주
3.39%· -0.2%p - 5GOOGLALPHABET INC확대+10.5%
ALPHABET INC
확대+10.5%4519.6만주· +428.9만주$13B
비중 2.86% · 4519.6만주
2.86%· +0.01%p - 6AVGOBROADCOM INC확대+16.9%
BROADCOM INC
확대+16.9%3904만주· +564.3만주$12.1B
비중 2.66% · 3904만주
2.66%· +0.09%p - 7GOOGALPHABET INC-CL C축소-1.6%
ALPHABET INC-CL C
축소-1.6%3054.9만주· -49.6만주$8.76B
비중 1.93% · 3054.9만주
1.93%· -0.24%p - 8TSLATESLA INC축소-2.3%
TESLA INC
축소-2.3%1975만주· -46.1만주$7.34B
비중 1.62% · 1975만주
1.62%· -0.41%p - 9METAMETA PLATFORMS INC축소-3.2%
META PLATFORMS INC
축소-3.2%1267.3만주· -41.4만주$7.25B
비중 1.6% · 1267.3만주
1.6%· -0.33%p - 10LLYELI LILLY & CO확대+8.8%
ELI LILLY & CO
확대+8.8%707.2만주· +57.3만주$6.5B
비중 1.43% · 707.2만주
1.43%· -0.12%p - 11JPMJPMORGAN CHASE & CO확대+14%
JPMORGAN CHASE & CO
확대+14%1869.9만주· +229.7만주$5.5B
비중 1.21% · 1869.9만주
1.21%· +0.03%p - 12JNJJOHNSON & JOHNSON확대+13.6%
JOHNSON & JOHNSON
확대+13.6%1962.8만주· +235.2만주$4.8B
비중 1.06% · 1962.8만주
1.06%· +0.26%p - 13BRK/BBERKSHIRE HATHAWAY INC-CL B확대+11.3%
BERKSHIRE HATHAWAY INC-CL B
확대+11.3%884.6만주· +89.7만주$4.24B
비중 0.93% · 884.6만주
0.93%· +0.04%p - 14VVISA INC-CLASS A SHARES확대+9%
VISA INC-CLASS A SHARES
확대+9%1391.2만주· +114.6만주$4.2B
비중 0.93% · 1391.2만주
0.93%· -0.07%p - 15AMDADVANCED MICRO DEVICES확대+3%
ADVANCED MICRO DEVICES
확대+3%1919.3만주· +56.2만주$3.9B
비중 0.86% · 1919.3만주
0.86%· -0.03%p - 16MAMASTERCARD INC - A확대+7.3%
MASTERCARD INC - A
확대+7.3%709.5만주· +48만주$3.54B
비중 0.78% · 709.5만주
0.78%· -0.06%p - 17AMATAPPLIED MATERIALS INC축소-6.5%
APPLIED MATERIALS INC
축소-6.5%999.7만주· -69.1만주$3.42B
비중 0.75% · 999.7만주
0.75%· +0.14%p - 18WMTWALMART INC확대+3%
WALMART INC
확대+3%2707.9만주· +78.5만주$3.37B
비중 0.74% · 2707.9만주
0.74%· +0.09%p - 19CSCOCISCO SYSTEMS INC확대+18%
CISCO SYSTEMS INC
확대+18%4230.7만주· +645만주$3.28B
비중 0.72% · 4230.7만주
0.72%· +0.11%p - 20NFLXNETFLIX INC확대+5.9%
NETFLIX INC
확대+5.9%3385.8만주· +188.7만주$3.26B
비중 0.72% · 3385.8만주
0.72%· +0.05%p - 21MUMICRON TECHNOLOGY INC확대+8.5%
MICRON TECHNOLOGY INC
확대+8.5%959.5만주· +74.8만주$3.24B
비중 0.71% · 959.5만주
0.71%· +0.15%p - 22HDHOME DEPOT INC확대+17.8%
HOME DEPOT INC
확대+17.8%946.9만주· +142.8만주$3.11B
비중 0.69% · 946.9만주
0.69%· +0.07%p - 23ABBVABBVIE INC확대+9.6%
ABBVIE INC
확대+9.6%1416.2만주· +123.7만주$3.08B
비중 0.68% · 1416.2만주
0.68%· +0.02%p - 24COSTCOSTCO WHOLESALE CORP확대+5.5%
COSTCO WHOLESALE CORP
확대+5.5%290.7만주· +15.1만주$2.9B
비중 0.64% · 290.7만주
0.64%· +0.11%p - 25LRCXLAM RESEARCH CORP확대+5.4%
LAM RESEARCH CORP
확대+5.4%1342.4만주· +69.2만주$2.87B
비중 0.63% · 1342.4만주
0.63%· +0.15%p - 26KOCOCA-COLA CO/THE확대+14%
COCA-COLA CO/THE
확대+14%3619.2만주· +444.5만주$2.75B
비중 0.61% · 3619.2만주
0.61%· +0.11%p - 27EXXON MOBIL CORP축소-1.1%축소-1.1%1582.6만주· -17.1만주
$2.69B
비중 0.59% · 1582.6만주
0.59%· +0.16%p - 28PGPROCTER & GAMBLE CO/THE확대+3.7%
PROCTER & GAMBLE CO/THE
확대+3.7%1833.1만주· +66.1만주$2.65B
비중 0.58% · 1833.1만주
0.58%· +0.02%p - 29MRKMERCK & CO. INC.확대+5.1%
MERCK & CO. INC.
확대+5.1%2041.5만주· +98.1만주$2.46B
비중 0.54% · 2041.5만주
0.54%· +0.09%p - 30INTCINTEL CORP확대+16.5%
INTEL CORP
확대+16.5%5277.1만주· +746.1만주$2.33B
비중 0.51% · 5277.1만주
0.51%· +0.14%p





























