
PICTET ASSET MANAGEMENT LTD
Latest 13F filing data - Q2 2021
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | CME | 401K | $85.19M |
![]() | EQR | 400K | $30.83M |
![]() | MCD | 398K | $92.00M |
![]() | LUMN | 397K | $5.39M |
![]() | BILI | 393K | $48.34M |
![]() | KALA | 392K | $2.08M |
![]() | BKR | 392K | $8.96M |
![]() | MNST | 390K | $35.59M |
![]() | SNBR | 389K | $42.80M |
![]() | ISRG | 389K | $357.81M |
![]() | ADP | 389K | $77.21M |
![]() | BFAM | 385K | $56.69M |
![]() | MMC | 383K | $53.89M |
![]() | FAST | 381K | $19.80M |
![]() | CNI | 380K | $40.14M |
![]() | WU | 379K | $8.70M |
![]() | KKR | 378K | $22.37M |
![]() | HCAT | 376K | $20.87M |
![]() | INVH | 374K | $13.95M |
![]() | MPW | 371K | $7.46M |

CME Group Inc.
CME
Shares Held
401K
Value
$85.19M

Equity Residential
EQR
Shares Held
400K
Value
$30.83M

McDonald's Corporation
MCD
Shares Held
398K
Value
$92.00M

Lumen Technologies, Inc.
LUMN
Shares Held
397K
Value
$5.39M

Bilibili Inc.
BILI
Shares Held
393K
Value
$48.34M

KALA BIO, Inc.
KALA
Shares Held
392K
Value
$2.08M

Baker Hughes Company
BKR
Shares Held
392K
Value
$8.96M

Monster Beverage Corporation
MNST
Shares Held
390K
Value
$35.59M

Sleep Number Corporation
SNBR
Shares Held
389K
Value
$42.80M

Intuitive Surgical, Inc.
ISRG
Shares Held
389K
Value
$357.81M

Automatic Data Processing, Inc.
ADP
Shares Held
389K
Value
$77.21M

Bright Horizons Family Solutions Inc.
BFAM
Shares Held
385K
Value
$56.69M

Marsh & McLennan Companies, Inc.
MMC
Shares Held
383K
Value
$53.89M

Fastenal Company
FAST
Shares Held
381K
Value
$19.80M

Canadian National Railway Company
CNI
Shares Held
380K
Value
$40.14M

The Western Union Company
WU
Shares Held
379K
Value
$8.70M

KKR & Co. Inc.
KKR
Shares Held
378K
Value
$22.37M

Health Catalyst, Inc.
HCAT
Shares Held
376K
Value
$20.87M

Invitation Homes Inc.
INVH
Shares Held
374K
Value
$13.95M

Medical Properties Trust, Inc.
MPW
Shares Held
371K
Value
$7.46M
