Livforsakringsbolaget Skandia, Omsesidigt Q4 2024 Filing
Filed January 28, 2025
Portfolio Value
$1.9B
Holdings
572
Report Date
Q4 2024
Filing Type
13F-HR
All Holdings (572 positions)
| Stock | Value |
|---|---|
MASMasco corp | $190K |
MTBM & t bank corp | $190K |
WBDWarner bros discovery inc | $189K |
WDCWestern digital corp | $188K |
UDRUdr inc | $188K |
WATWaters corp | $185K |
BROBrown & brown inc | $184K |
BBYBest buy co inc | $181K |
CLXClorox company | $181K |
TROWT rowe price group inc | $181K |
ADMArcher-daniels-midland co | $179K |
PKNRevvity inc | $179K |
PPGPpg industries inc | $179K |
TRGPTarga resources corp | $178K |
BRBroadridge financial solutio | $178K |
VMCVulcan materials co | $176K |
CCKCrown holdings inc | $176K |
MCHPMicrochip technology inc | $174K |
EIXEdison international | $174K |
SBACSba communications corp | $174K |
POOLPool corp | $170K |
CTVACorteva inc | $169K |
WSOWatsco inc | $169K |
ULTAUlta beauty inc | $168K |
IDXXIdexx laboratories inc | $165K |
EXRExtra space storage inc | $165K |
DGXQuest diagnostics inc | $164K |
STZConstellation brands inc-a | $164K |
FANGDiamondback energy inc | $164K |
BXPBxp inc | $164K |
FOXFox corp - class b | $163K |
FDSFactset research systems inc | $162K |
MCXMccormick & co-non vtg shrs | $160K |
FSLRFirst solar inc | $159K |
TYLTyler technologies inc | $159K |
BLDRBuilders firstsource inc | $158K |
PODDInsulet corp | $157K |
IFFIntl flavors & fragrances | $157K |
CBOECboe global markets inc | $156K |
IRMIron mountain inc | $154K |
FTVFortive corp | $153K |
CFGCitizens financial group | $153K |
MTDMettler-toledo international | $153K |
LIILennox international inc | $152K |
ELEstee lauder companies-cl a | $151K |
CSGPCostar group inc | $150K |
VTRSViatris inc | $149K |
TRUTransunion | $148K |
EQTEqt corp | $148K |
ZSZscaler inc | $146K |
AFWAlign technology inc | $146K |
MOHMolina healthcare inc | $146K |
BURLBurlington stores inc | $142K |
LYVLive nation entertainment in | $142K |
HOODRobinhood markets inc - a | $142K |
PSTGPure storage inc - class a | $141K |
AVYAvery dennison corp | $140K |
ILMNIllumina inc | $140K |
KEYKeycorp | $139K |
TERTeradyne inc | $139K |
BAXBaxter international inc | $138K |
NBIXNeurocrine biosciences inc | $137K |
DOCUDocusign inc | $135K |
RSReliance inc | $135K |
ORealty income corp | $133K |
DDominion energy inc | $131K |
MDBMongodb inc | $130K |
JNPJuniper networks inc | $130K |
WRBWr berkley corp | $128K |
DLTRDollar tree inc | $128K |
LHLabcorp holdings inc | $127K |
NLYAnnaly capital management in | $126K |
WBAWalgreens boots alliance inc | $126K |
HSTHost hotels & resorts inc | $125K |
TWTradeweb markets inc-class a | $125K |
CPTCamden property trust | $125K |
JKHYJack henry & associates inc | $123K |
PINSPinterest inc- class a | $122K |
DGDollar general corp | $121K |
TWLOTwilio inc - a | $119K |
AREAlexandria real estate equit | $118K |
MRNAModerna inc | $115K |
DTDynatrace inc | $114K |
SMCISuper micro computer inc | $114K |
MANHManhattan associates inc | $114K |
FBINFortune brands innovations i | $113K |
BMRNBiomarin pharmaceutical inc | $113K |
CINFCincinnati financial corp | $110K |
INCYIncyte corp | $108K |
ENQEntegris inc | $108K |
ELSEquity lifestyle properties | $107K |
AVTRAvantor inc | $106K |
TOSTToast inc-class a | $106K |
MKLMarkel group inc | $104K |
ROLRollins inc | $103K |
HSICHenry schein inc | $103K |
STLDSteel dynamics inc | $103K |
BAHBooz allen hamilton holdings | $103K |
OKTAOkta inc | $102K |
KMXCarmax inc | $101K |