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STOCK TICKER:

MAJOR GURUS:
David Einhorn
Bill Ackman
Bill Miller
Steven Cohen
Jim Simons

Xact Kapitalforvaltning AB INSTITUTION : Xact Kapitalforvaltning AB
Xact Kapitalforvaltning AB Portfolio (reported on 2020-05-14)
Company (links to holding history) Ticker Value On
2020-03-31
No of Shares % of portfolio
MICROSOFT CORP COM    (COM) MSFT 265,349,000 1,682,514 5.64%
APPLE INC COM    (COM) AAPL 218,540,000 859,411 4.64%
AMAZON COM INC COM    (COM) AMZN 181,443,000 93,061 3.85%
FACEBOOK INC CL A    (COM) FB 89,039,000 533,805 1.89%
ALPHABET INC CAP STK CL C    (COM) GOOG 77,839,000 66,940 1.65%
ALPHABET INC CAP STK CL A    (COM) GOOGL 77,452,000 66,657 1.64%
JOHNSON & JOHNSON COM    (COM) JNJ 77,002,000 587,219 1.63%
ALIBABA GROUP HLDG LTD SPONSORED ADS    (COM) BABA 63,286,000 325,410 1.34%
JPMORGAN CHASE & CO COM    (COM) JPM 62,330,000 692,330 1.32%
PROCTER & GAMBLE CO COM    (COM) PG 60,745,000 552,230 1.29%
VISA INC COM CL A    (COM) V 60,691,000 376,683 1.29%
INTEL CORP COM    (COM) INTC 52,677,000 973,334 1.12%
UNITEDHEALTH GROUP INC COM    (COM) UNH 51,751,000 207,520 1.10%
VERIZON COMMUNICATIONS INC COM    (COM) VZ 49,287,000 917,314 1.04%
MASTERCARD INC CL A    (COM) MA 47,513,000 196,692 1.01%
AT&T INC COM    (COM) T 47,469,000 1,628,445 1.00%
HOME DEPOT INC COM    (COM) HD 45,964,000 246,177 0.97%
MERCK & CO. INC COM    (COM) MRK 43,816,000 569,485 0.93%
PFIZER INC COM    (COM) PFE 40,343,000 1,236,001 0.85%
DISNEY WALT CO COM DISNEY    (COM) DIS 38,992,000 403,646 0.82%
BK OF AMERICA CORP COM    (COM) BAC 38,632,000 1,819,706 0.82%
COCA COLA CO COM    (COM) KO 37,919,000 856,923 0.80%
CISCO SYS INC COM    (COM) CSCO 37,790,000 961,330 0.80%
PEPSICO INC COM    (COM) PEP 37,540,000 312,576 0.79%
NETFLIX INC COM    (COM) NFLX 35,971,000 95,794 0.76%
WALMART INC COM    (COM) WMT 35,126,000 309,157 0.74%
NVIDIA CORP COM    (COM) NVDA 34,565,000 131,126 0.73%
COMCAST CORP NEW CL A    (COM) CMCSA 34,495,000 1,003,348 0.73%
ADOBE INC COM    (COM) ADBE 34,162,000 107,348 0.72%
ABBOTT LABS COM    (COM) ABT 30,960,000 392,346 0.65%
BRISTOL-MYERS SQUIBB CO COM    (COM) BMY 29,174,000 523,396 0.62%
AMGEN INC COM    (COM) AMGN 27,894,000 137,591 0.59%
MCDONALDS CORP COM    (COM) MCD 27,636,000 167,134 0.58%
SALESFORCE COM INC COM    (COM) CRM 27,582,000 191,569 0.58%
MEDTRONIC PLC SHS    (COM) MDT 27,021,000 299,633 0.57%
LILLY ELI & CO COM    (COM) LLY 26,801,000 193,203 0.57%
THERMO FISHER SCIENTIFIC INC COM    (COM) TMO 25,525,000 90,002 0.54%
PAYPAL HLDGS INC COM    (COM) PYPL 25,241,000 263,644 0.53%
ABBVIE INC COM    (COM) ABBV 24,978,000 327,843 0.53%
WELLS FARGO CO NEW COM    (COM) WFC 24,834,000 865,281 0.52%
ACCENTURE PLC IRELAND SHS CLASS A    (COM) ACN 23,012,000 140,956 0.48%
NIKE INC CL B    (COM) NKE 22,526,000 272,250 0.47%
ORACLE CORP COM    (COM) ORCL 22,512,000 465,789 0.47%
INTERNATIONAL BUSINESS MACHS COM    (COM) IBM 21,913,000 197,537 0.46%
UNION PAC CORP COM    (COM) UNP 21,907,000 155,327 0.46%
AMERICAN TOWER CORP NEW COM    (COM) AMT 21,275,000 97,702 0.45%
CITIGROUP INC COM NEW    (COM) C 21,074,000 500,333 0.44%
GILEAD SCIENCES INC COM    (COM) GILD 21,054,000 281,616 0.44%
TEXAS INSTRS INC COM    (COM) TXN 20,765,000 207,794 0.44%
BROADCOM INC COM    (COM) 20,594,000 86,857 0.43%
DANAHER CORPORATION COM    (COM) DHR 19,763,000 142,788 0.42%
QUALCOMM INC COM    (COM) QCOM 17,456,000 258,027 0.37%
3M CO COM    (COM) MMM 17,437,000 127,733 0.37%
CVS HEALTH CORP COM    (COM) CVS 17,384,000 293,009 0.36%
LINDE PLC SHS    (COM) 17,205,000 99,449 0.36%
STARBUCKS CORP COM    (COM) SBUX 17,061,000 259,521 0.36%
TESLA INC COM    (COM) TSLA 16,743,000 31,952 0.35%
FIDELITY NATL INFORMATION SV COM    (COM) FIS 16,225,000 133,389 0.34%
MONDELEZ INTL INC CL A    (COM) MDLZ 15,559,000 310,686 0.33%
GENERAL ELECTRIC CO COM    (COM) GE 15,179,000 1,911,743 0.32%
CHARTER COMMUNICATIONS INC N CL A    (COM) CHTR 15,112,000 34,635 0.32%
LOWES COS INC COM    (COM) LOW 14,807,000 172,070 0.31%
CIGNA CORP NEW COM    (COM) 14,614,000 82,480 0.31%
UNITED PARCEL SERVICE INC CL B    (COM) UPS 14,290,000 152,964 0.30%
S&P GLOBAL INC COM    (COM) SPGI 14,108,000 57,570 0.30%
CATERPILLAR INC DEL COM    (COM) CAT 13,984,000 120,511 0.29%
BECTON DICKINSON & CO COM    (COM) BDX 13,669,000 59,492 0.29%
CME GROUP INC COM    (COM) CME 13,608,000 78,701 0.28%
VERTEX PHARMACEUTICALS INC COM    (COM) VRTX 13,477,000 56,640 0.28%
CROWN CASTLE INTL CORP NEW COM    (COM) CCI 13,103,000 90,738 0.27%
BIOGEN INC COM    (COM) BIIB 12,822,000 40,527 0.27%
INTUIT COM    (COM) INTU 12,822,000 55,749 0.27%
ANTHEM INC COM    (COM) ANTM 12,682,000 55,860 0.26%
COLGATE PALMOLIVE CO COM    (COM) CL 12,472,000 187,938 0.26%
INTUITIVE SURGICAL INC COM NEW    (COM) ISRG 12,465,000 25,172 0.26%
ZOETIS INC CL A    (COM) ZTS 12,411,000 105,458 0.26%
AMERICAN EXPRESS CO COM    (COM) AXP 12,383,000 144,645 0.26%
AUTOMATIC DATA PROCESSING IN COM    (COM) ADP 12,370,000 90,504 0.26%
BOOKING HLDGS INC COM    (COM) 12,335,000 9,169 0.26%
SERVICENOW INC COM    (COM) NOW 12,024,000 41,958 0.25%
TJX COS INC NEW COM    (COM) TJX 11,945,000 249,843 0.25%
STRYKER CORP COM    (COM) SYK 11,923,000 71,611 0.25%
US BANCORP DEL COM NEW    (COM) USB 11,877,000 344,751 0.25%
FISERV INC COM    (COM) FISV 11,725,000 123,434 0.24%
BLACKROCK INC COM    (COM) BLK 11,539,000 26,226 0.24%
EQUINIX INC COM    (COM) EQIX 11,520,000 18,444 0.24%
PROLOGIS INC. COM    (COM) PLD 11,516,000 143,291 0.24%
GOLDMAN SACHS GROUP INC COM    (COM) GS 11,462,000 74,147 0.24%
ADVANCED MICRO DEVICES INC COM    (COM) AMD 11,282,000 248,061 0.23%
MICRON TECHNOLOGY INC COM    (COM) MU 10,507,000 249,816 0.22%
ACTIVISION BLIZZARD INC COM    (COM) ATVI 10,074,000 169,367 0.21%
CHUBB LIMITED COM    (COM) CB 9,955,000 89,132 0.21%
AIR PRODS & CHEMS INC COM    (COM) APD 9,776,000 48,973 0.20%
BOSTON SCIENTIFIC CORP COM    (COM) BSX 9,713,000 297,677 0.20%
KIMBERLY CLARK CORP COM    (COM) KMB 9,588,000 74,982 0.20%
APPLIED MATLS INC COM    (COM) AMAT 9,560,000 208,651 0.20%
INTERCONTINENTAL EXCHANGE IN COM    (COM) ICE 9,549,000 118,252 0.20%
CSX CORP COM    (COM) CSX 9,498,000 165,766 0.20%
DEERE & CO COM    (COM) DE 9,494,000 68,720 0.20%
MORGAN STANLEY COM NEW    (COM) MS 9,452,000 278,009 0.20%
GLOBAL PMTS INC COM    (COM) GPN 9,437,000 65,428 0.20%
MARSH & MCLENNAN COS INC COM    (COM) MMC 9,366,000 108,326 0.19%
PROGRESSIVE CORP OHIO COM    (COM) PGR 9,328,000 126,328 0.19%
BAXTER INTL INC COM    (COM) BAX 9,173,000 112,978 0.19%
SHERWIN WILLIAMS CO COM    (COM) SHW 8,909,000 19,387 0.18%
REGENERON PHARMACEUTICALS COM    (COM) REGN 8,839,000 18,101 0.18%
SCHWAB CHARLES CORP COM    (COM) SCHW 8,824,000 262,448 0.18%
ILLUMINA INC COM    (COM) ILMN 8,822,000 32,301 0.18%
HUMANA INC COM    (COM) HUM 8,804,000 28,037 0.18%
DOLLAR GEN CORP NEW COM    (COM) DG 8,722,000 57,761 0.18%
NEWMONT CORP COM    (COM) NEM 8,714,000 192,441 0.18%
ECOLAB INC COM    (COM) ECL 8,709,000 55,889 0.18%
PNC FINL SVCS GROUP INC COM    (COM) PNC 8,622,000 90,071 0.18%
WASTE MGMT INC DEL COM    (COM) WMI 8,475,000 91,563 0.18%
NORFOLK SOUTHERN CORP COM    (COM) NSC 8,352,000 57,204 0.17%
ILLINOIS TOOL WKS INC COM    (COM) ITW 8,347,000 58,730 0.17%
LAM RESEARCH CORP COM    (COM) LRCX 8,142,000 33,923 0.17%
EATON CORP PLC SHS    (COM) ETN 7,944,000 102,249 0.16%
ROPER TECHNOLOGIES INC COM    (COM) ROP 7,910,000 25,368 0.16%
WALGREENS BOOTS ALLIANCE INC COM    (COM) WBA 7,811,000 170,743 0.16%
LAUDER ESTEE COS INC CL A    (COM) EL 7,780,000 48,829 0.16%
MOODYS CORP COM    (COM) MCO 7,770,000 36,739 0.16%
AUTODESK INC COM    (COM) ADSK 7,650,000 49,007 0.16%
ANALOG DEVICES INC COM    (COM) ADI 7,374,000 82,251 0.15%
DIGITAL RLTY TR INC COM    (COM) DLR 7,224,000 52,003 0.15%
GENERAL MLS INC COM    (COM) GIS 6,822,000 129,280 0.14%
ROSS STORES INC COM    (COM) ROST 6,699,000 77,023 0.14%
JD COM INC SPON ADR CL A    (ADR) JD 6,690,000 165,177 0.14%
BANK NEW YORK MELLON CORP COM    (COM) BK 6,659,000 197,720 0.14%
SBA COMMUNICATIONS CORP NEW CL A    (COM) 6,392,000 23,675 0.13%
ELECTRONIC ARTS INC COM    (COM) ERTS 6,386,000 63,755 0.13%
PUBLIC STORAGE COM    (COM) PSA 6,373,000 32,088 0.13%
FEDEX CORP COM    (COM) FDX 6,295,000 51,911 0.13%
ALLSTATE CORP COM    (COM) ALL 6,213,000 67,736 0.13%
NXP SEMICONDUCTORS N V COM    (COM) NXPI 6,119,000 73,789 0.13%
EMERSON ELEC CO COM    (COM) EMR 6,111,000 128,255 0.12%
BAIDU INC SPON ADR REP A    (ADR) BIDU 6,037,000 59,901 0.12%
AFLAC INC COM    (COM) AFL 6,000,000 175,231 0.12%
PRICE T ROWE GROUP INC COM    (COM) TROW 5,857,000 59,983 0.12%
GENERAL MTRS CO COM    (COM) GM 5,704,000 274,488 0.12%
MCKESSON CORP COM    (COM) MCK 5,670,000 41,922 0.12%
NETEASE INC SPONSORED ADS    (COM) NTES 5,611,000 17,483 0.11%
HP INC COM    (COM) HPQ 5,564,000 320,513 0.11%
COGNIZANT TECHNOLOGY SOLUTIO CL A    (COM) CTSH 5,539,000 119,189 0.11%
DUPONT DE NEMOURS INC COM    (COM) 5,524,000 161,996 0.11%
SYSCO CORP COM    (COM) SYY 5,437,000 119,151 0.11%
EBAY INC COM    (COM) EBAY 5,355,000 178,150 0.11%
KLA CORPORATION COM NEW    (COM) KLAC 5,329,000 37,075 0.11%
PACCAR INC COM    (COM) PCAR 5,303,000 86,754 0.11%
HCA HEALTHCARE INC COM    (COM) HCA 5,287,000 58,842 0.11%
CAPITAL ONE FINL CORP COM    (COM) COF 5,218,000 103,483 0.11%
O REILLY AUTOMOTIVE INC NEW COM    (COM) ORLY 5,199,000 17,270 0.11%
AMETEK INC COM    (COM) AME 5,143,000 71,414 0.10%
CENTENE CORP DEL COM    (COM) CNC 5,127,000 86,304 0.10%
MERCADOLIBRE INC COM    (COM) MELI 5,078,000 10,393 0.10%
MONSTER BEVERAGE CORP NEW COM    (COM) MNST 5,040,000 89,584 0.10%
MSCI INC COM    (COM) MXB 5,037,000 17,430 0.10%
MOTOROLA SOLUTIONS INC COM NEW    (COM) MSI 5,004,000 37,647 0.10%
IHS MARKIT LTD SHS    (COM) 4,967,000 82,784 0.10%
TAL EDUCATION GROUP SPONSORED ADS    (COM) XRS 4,916,000 92,300 0.10%
DOW INC COM    (COM) 4,915,000 168,107 0.10%
VERISK ANALYTICS INC COM    (COM) VRSK 4,913,000 35,250 0.10%
WORKDAY INC CL A    (COM) WDAY 4,870,000 37,395 0.10%
EQUITY RESIDENTIAL SH BEN INT    (COM) EQR 4,862,000 78,782 0.10%
COSTAR GROUP INC COM    (COM) CSGP 4,830,000 8,225 0.10%
RESMED INC COM    (COM) RMD 4,805,000 32,620 0.10%
AVALONBAY CMNTYS INC COM    (COM) AVB 4,796,000 32,589 0.10%
METLIFE INC COM    (COM) MET 4,770,000 156,025 0.10%
AUTOZONE INC COM    (COM) AZO 4,689,000 5,542 0.09%
WILLIS TOWERS WATSON PLC LTD SHS    (COM) WLTW 4,665,000 27,467 0.09%
AGILENT TECHNOLOGIES INC COM    (COM) A 4,657,000 65,020 0.09%
SYNOPSYS INC COM    (COM) SNPS 4,635,000 35,987 0.09%
VEEVA SYS INC CL A COM    (COM) VEEV 4,632,000 29,619 0.09%
AMERICAN WTR WKS CO INC NEW COM    (COM) AWK 4,598,000 38,455 0.09%
AMERICAN INTL GROUP INC COM NEW    (COM) AIG 4,572,000 188,555 0.09%
YUM BRANDS INC COM    (COM) YUM 4,557,000 66,493 0.09%
EDISON INTL COM    (COM) EIX 4,502,000 82,170 0.09%
PPG INDS INC COM    (COM) PPG 4,497,000 53,795 0.09%
PRUDENTIAL FINL INC COM    (COM) PRU 4,493,000 86,167 0.09%
ANSYS INC COM    (COM) ANSS 4,487,000 19,301 0.09%
CLOROX CO DEL COM    (COM) CLX 4,477,000 25,839 0.09%
BALL CORP COM    (COM) BLL 4,463,000 69,027 0.09%
SPLUNK INC COM    (COM) SPLK 4,449,000 35,242 0.09%
LULULEMON ATHLETICA INC COM    (COM) LULU 4,436,000 23,402 0.09%
TE CONNECTIVITY LTD REG SHS    (COM) TEL 4,347,000 69,017 0.09%
IDEXX LABS INC COM    (COM) IDXX 4,339,000 17,910 0.09%
ZIMMER BIOMET HOLDINGS INC COM    (COM) ZMH 4,313,000 42,670 0.09%
IQVIA HLDGS INC COM    (COM) 4,298,000 39,850 0.09%
HERSHEY CO COM    (COM) HSY 4,291,000 32,385 0.09%
ARCHER DANIELS MIDLAND CO COM    (COM) ADM 4,265,000 121,237 0.09%
MCCORMICK & CO INC COM NON VTG    (COM) MKC 4,258,000 30,153 0.09%
CITRIX SYS INC COM    (COM) CTXS 4,249,000 30,019 0.09%
COOPER COS INC COM NEW    (COM) COO 4,239,000 15,376 0.09%
METTLER TOLEDO INTERNATIONAL COM    (COM) MTD 4,205,000 6,090 0.08%
ALEXION PHARMACEUTICALS INC COM    (COM) ALXN 4,198,000 46,750 0.08%
NEW ORIENTAL ED & TECH GRP I SPON ADR    (ADR) EDU 4,178,000 38,600 0.08%
CERNER CORP COM    (COM) CERN 4,142,000 65,758 0.08%
MARRIOTT INTL INC NEW CL A    (COM) MAR 4,138,000 55,320 0.08%
CUMMINS INC COM    (COM) CMI 4,130,000 30,523 0.08%
DEXCOM INC COM    (COM) DXCM 4,120,000 15,300 0.08%
1 2 3 4 5 6 7 Next >Full Portfolio View
Total Value As 2020-03-31: 4,701,887,000 SEC FILING
* Portfolios do not reflect changes after reporting
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MAJOR GURUS:
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George Soros

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