
NOMURA ASSET MANAGEMENT CO LTD
Latest 13F filing data - Q3 2025
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | HST | 953K | $16.23M |
![]() | ORCL | 950K | $267.09M |
![]() | QCOM | 948K | $157.70M |
![]() | TTEK | 918K | $30.65M |
![]() | PGR | 894K | $220.66M |
![]() | CVS | 887K | $66.88M |
![]() | C | 884K | $89.76M |
![]() | BSX | 880K | $85.94M |
![]() | CL | 880K | $70.35M |
![]() | ADM | 873K | $52.16M |
![]() | PLTR | 861K | $157.13M |
![]() | PM | 854K | $138.46M |
![]() | WDC | 840K | $100.84M |
![]() | GILD | 838K | $92.97M |
![]() | GRAB | 837K | $5.04M |
![]() | BMY | 829K | $37.41M |
![]() | MDLZ | 821K | $51.26M |
![]() | EXC | 819K | $36.84M |
![]() | VTR | 818K | $57.22M |
![]() | ES | 803K | $57.11M |

Host Hotels & Resorts, Inc.
HST
Shares Held
953K
Value
$16.23M

Oracle Corporation
ORCL
Shares Held
950K
Value
$267.09M

QUALCOMM Incorporated
QCOM
Shares Held
948K
Value
$157.70M

Tetra Tech, Inc.
TTEK
Shares Held
918K
Value
$30.65M

The Progressive Corporation
PGR
Shares Held
894K
Value
$220.66M

CVS Health Corporation
CVS
Shares Held
887K
Value
$66.88M

Citigroup Inc.
C
Shares Held
884K
Value
$89.76M

Boston Scientific Corporation
BSX
Shares Held
880K
Value
$85.94M

Colgate-Palmolive Company
CL
Shares Held
880K
Value
$70.35M

Archer-Daniels-Midland Company
ADM
Shares Held
873K
Value
$52.16M

Palantir Technologies Inc.
PLTR
Shares Held
861K
Value
$157.13M

Philip Morris International Inc.
PM
Shares Held
854K
Value
$138.46M

Western Digital Corporation
WDC
Shares Held
840K
Value
$100.84M

Gilead Sciences, Inc.
GILD
Shares Held
838K
Value
$92.97M

Grab Holdings Limited
GRAB
Shares Held
837K
Value
$5.04M

Bristol-Myers Squibb Company
BMY
Shares Held
829K
Value
$37.41M

Mondelez International, Inc.
MDLZ
Shares Held
821K
Value
$51.26M

Exelon Corporation
EXC
Shares Held
819K
Value
$36.84M

Ventas, Inc.
VTR
Shares Held
818K
Value
$57.22M

Eversource Energy
ES
Shares Held
803K
Value
$57.11M
