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
- $550B
- 13F 공시 평가액
- 보유 가치 증감
- +14.4%
- 전분기 대비
- 보유 종목 수
- 3,723개
- 상위 50개 제공
보유 종목
평가액 상위 50개 · 전체 보유 가치의 57.7%
- 1NVDANVIDIA CORP축소-2.3%
NVIDIA CORP
축소-2.3%1.9억주· -459.5만주$38.9B
비중 7.47% · 1.9억주
7.47%· -0.17%p - 2AAPLAPPLE INC축소-1.4%
APPLE INC
축소-1.4%1억주· -150.9만주$30.1B
비중 5.78% · 1억주
5.78%· -0.11%p - 3MSFTMICROSOFT CORP확대+0.9%
MICROSOFT CORP
확대+0.9%6437.5만주· +54.3만주$24B
비중 4.61% · 6437.5만주
4.61%· -0.59%p - 4AMZNAMAZON COM INC축소-5.3%
AMAZON COM INC
축소-5.3%6994.1만주· -392.9만주$16.7B
비중 3.2% · 6994.1만주
3.2%· -0.18%p - 5GOOGLALPHABET INC축소-1.1%
ALPHABET INC
축소-1.1%4468.9만주· -50.8만주$16B
비중 3.07% · 4468.9만주
3.07%· +0.21%p - 6AVGOBROADCOM INC확대+2.9%
BROADCOM INC
확대+2.9%4018.1만주· +114.1만주$15.2B
비중 2.92% · 4018.1만주
2.92%· +0.26%p - 7MUMICRON TECHNOLOGY INC축소-7.3%
MICRON TECHNOLOGY INC
축소-7.3%889.8만주· -69.6만주$10.3B
비중 1.97% · 889.8만주
1.97%· +1.26%p - 8AMDADVANCED MICRO DEVICES축소-8.6%
ADVANCED MICRO DEVICES
축소-8.6%1754.8만주· -164.4만주$10.2B
비중 1.96% · 1754.8만주
1.96%· +1.1%p - 9GOOGALPHABET INC-CL C축소-5.7%
ALPHABET INC-CL C
축소-5.7%2881.9만주· -173만주$10.2B
비중 1.96% · 2881.9만주
1.96%· +0.03%p - 10LLYELI LILLY & CO확대+1.9%
ELI LILLY & CO
확대+1.9%720.9만주· +13.7만주$8.65B
비중 1.66% · 720.9만주
1.66%· +0.23%p - 11TSLATESLA INC축소-1.1%
TESLA INC
축소-1.1%1953.3만주· -21.7만주$8.22B
비중 1.58% · 1953.3만주
1.58%· -0.04%p - 12METAMETA PLATFORMS INC확대+1.3%
META PLATFORMS INC
확대+1.3%1283.6만주· +16.3만주$7.23B
비중 1.39% · 1283.6만주
1.39%· -0.21%p - 13AMATAPPLIED MATERIALS INC축소-5.8%
APPLIED MATERIALS INC
축소-5.8%941.2만주· -58.5만주$6.81B
비중 1.31% · 941.2만주
1.31%· +0.56%p - 14INTCINTEL CORP축소-12.4%
INTEL CORP
축소-12.4%4623.9만주· -653.2만주$6.46B
비중 1.24% · 4623.9만주
1.24%· +0.73%p - 15JPMJPMORGAN CHASE & CO확대+0.7%
JPMORGAN CHASE & CO
확대+0.7%1883.3만주· +13.5만주$6.16B
비중 1.18% · 1883.3만주
1.18%· -0.03%p - 16LRCXLAM RESEARCH CORP축소-6.8%
LAM RESEARCH CORP
축소-6.8%1251.5만주· -90.9만주$5.42B
비중 1.04% · 1251.5만주
1.04%· +0.41%p - 17VVISA INC-CLASS A SHARES확대+13%
VISA INC-CLASS A SHARES
확대+13%1572만주· +180.8만주$5.39B
비중 1.04% · 1572만주
1.04%· +0.11%p - 18CSCOCISCO SYSTEMS INC확대+2.7%
CISCO SYSTEMS INC
확대+2.7%4345만주· +114.3만주$5.1B
비중 0.98% · 4345만주
0.98%· +0.26%p - 19JNJJOHNSON & JOHNSON축소-6.2%
JOHNSON & JOHNSON
축소-6.2%1841.6만주· -121.2만주$4.68B
비중 0.9% · 1841.6만주
0.9%· -0.16%p - 20BRK/BBERKSHIRE HATHAWAY INC-CL B확대+0.7%
BERKSHIRE HATHAWAY INC-CL B
확대+0.7%891.1만주· +6.5만주$4.46B
비중 0.86% · 891.1만주
0.86%· -0.08%p - 21ABBVABBVIE INC확대+0.7%
ABBVIE INC
확대+0.7%1426.8만주· +10.6만주$3.59B
비중 0.69% · 1426.8만주
0.69%· +0.01%p - 22MAMASTERCARD INC - A축소-1.5%
MASTERCARD INC - A
축소-1.5%698.8만주· -10.7만주$3.59B
비중 0.69% · 698.8만주
0.69%· -0.09%p - 23KLACKLA CORP확대+954.9%
KLA CORP
확대+954.9%1165.7만주· +1055.2만주$3.52B
비중 0.68% · 1165.7만주
0.68%· +0.32%p - 24CATCATERPILLAR INC축소-3.5%
CATERPILLAR INC
축소-3.5%315.4만주· -11.4만주$3.36B
비중 0.65% · 315.4만주
0.65%· +0.14%p - 25HDHOME DEPOT INC축소-4.1%
HOME DEPOT INC
축소-4.1%908.4만주· -38.5만주$3.2B
비중 0.62% · 908.4만주
0.62%· -0.07%p - 26WMTWALMART INC축소-0.2%
WALMART INC
축소-0.2%2701.6만주· -6.3만주$3.06B
비중 0.59% · 2701.6만주
0.59%· -0.15%p - 27WDCWESTERN DIGITAL CORP확대+63.4%
WESTERN DIGITAL CORP
확대+63.4%474.4만주· +184.2만주$3.03B
비중 0.58% · 474.4만주
0.58%· +0.41%p - 28PANWPALO ALTO NETWORKS INC확대+8.7%
PALO ALTO NETWORKS INC
확대+8.7%877.9만주· +70.6만주$2.99B
비중 0.58% · 877.9만주
0.58%· +0.29%p - 29KOCOCA-COLA CO/THE확대+0.4%
COCA-COLA CO/THE
확대+0.4%3635.4만주· +16.2만주$2.95B
비중 0.57% · 3635.4만주
0.57%· -0.04%p - 30COSTCOSTCO WHOLESALE CORP확대+5.5%
COSTCO WHOLESALE CORP
확대+5.5%306.8만주· +16.1만주$2.87B
비중 0.55% · 306.8만주
0.55%· -0.09%p






























