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Amundi

2,042 holdingsFiling period: 2026-03-31Current AUM: $415.96Bestimated from latest prices
#TickerCompanySharesReported ValueCurrent Value% PortfolioChangeDate
1NVDANVIDIA CORPORATION133.77M$23.33B$26.09B6.27%+12.58M2026-03-31
2TOTALENERGIES SE207.40M$18.87B$18.87B4.54%--2026-03-31
3AAPLAPPLE INC73.08M$18.55B$24.37B5.86%+13.78M2026-03-31
4MSFTMICROSOFT CORP41.68M$15.43B$18.80B4.52%+9.81M2026-03-31
5AMZNAMAZON COM INC61.40M$12.79B$14.46B3.48%+7.59M2026-03-31
6GOOGLALPHABET INC31.75M$9.13B$10.59B2.55%+3.57M2026-03-31
7TSLATESLA INC22.17M$8.24B$6.85B1.65%+2.73M2026-03-31
8AVGOBROADCOM INC26.06M$8.07B$10.11B2.43%+2.28M2026-03-31
9METAMETA PLATFORMS INC11.86M$6.78B$6.39B1.54%+1.82M2026-03-31
10GOOGALPHABET INC21.92M$6.29B$7.32B1.76%+4.08M2026-03-31
11LLYELI LILLY & CO5.06M$4.65B$5.84B1.40%+454.5K2026-03-31
12XOMEXXON MOBIL CORP24.51M$4.16B$3.85B0.92%+1.19M2026-03-31
13XOMEXXON MOBIL CORP24.51M$4.16B$3.85B0.92%+1.19M2026-03-31
14JNJJOHNSON & JOHNSON13.41M$3.28B$3.43B0.82%+2.00M2026-03-31
15ASTRAZENECA PLC15.39M$3.03B$3.03B0.73%--2026-03-31
16COSTCOSTCO WHOLESALE CORPORATION2.84M$2.83B$2.71B0.65%+283.4K2026-03-31
17AMDADVANCED MICRO DEVICES INC13.68M$2.78B$6.64B1.60%-2,147,9392026-03-31
18CVXCHEVRON CORPORATION12.19M$2.52B$2.34B0.56%+349.4K2026-03-31
19PLTRPALANTIR TECHNOLOGIES INC16.41M$2.40B$2.01B0.48%+398.1K2026-03-31
20ABBVABBVIE INC10.70M$2.33B$2.75B0.66%+247.7K2026-03-31
21BRK-BBERKSHIRE HATHAWAY INC DEL4.71M$2.26B$2.26B0.54%+846.8K2026-03-31
22AMATAPPLIED MATLS INC6.56M$2.24B$3.29B0.79%+312.8K2026-03-31
23NFLXNETFLIX INC.23.19M$2.23B$1.70B0.41%-258,0942026-03-31
24LRCXLAM RESEARCH CORP10.15M$2.17B$3.02B0.73%+1.94M2026-03-31
25BACBANK AMERICA CORP42.39M$2.07B$2.62B0.63%+4.72M2026-03-31
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