
PICTET ASSET MANAGEMENT LTD
Latest 13F filing data - Q2 2021
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | STX | 97K | $8.51M |
![]() | BLDP | 96K | $1.75M |
![]() | LNC | 96K | $6.03M |
![]() | QSR | 96K | $6.18M |
![]() | MAA | 95K | $16.08M |
![]() | LNG | 95K | $8.24M |
![]() | CHTR | 95K | $68.40M |
![]() | LB | 94K | $6.79M |
![]() | CHE | 94K | $44.63M |
![]() | RCL | 94K | $7.97M |
![]() | CGC | 93K | $2.25M |
![]() | DHC | 93K | $387.00K |
![]() | SUI | 92K | $15.84M |
![]() | FUTU | 91K | $16.32M |
![]() | CPB | 91K | $4.15M |
![]() | OTEX | 91K | $4.61M |
![]() | ZLAB | 90K | $15.89M |
![]() | ARGX | 90K | $27.09M |
![]() | CF | 88K | $4.55M |
![]() | VRSN | 88K | $20.13M |

Seagate Technology Holdings plc
STX
Shares Held
97K
Value
$8.51M

Ballard Power Systems Inc.
BLDP
Shares Held
96K
Value
$1.75M

Lincoln National Corporation
LNC
Shares Held
96K
Value
$6.03M

Restaurant Brands International Inc.
QSR
Shares Held
96K
Value
$6.18M

Mid-America Apartment Communities, Inc.
MAA
Shares Held
95K
Value
$16.08M

Cheniere Energy, Inc.
LNG
Shares Held
95K
Value
$8.24M

Charter Communications, Inc.
CHTR
Shares Held
95K
Value
$68.40M

LandBridge Company LLC
LB
Shares Held
94K
Value
$6.79M

Chemed Corporation
CHE
Shares Held
94K
Value
$44.63M

Royal Caribbean Cruises Ltd.
RCL
Shares Held
94K
Value
$7.97M

Canopy Growth Corporation
CGC
Shares Held
93K
Value
$2.25M

Diversified Healthcare Trust
DHC
Shares Held
93K
Value
$387.00K

Sun Communities, Inc.
SUI
Shares Held
92K
Value
$15.84M

Futu Holdings Limited
FUTU
Shares Held
91K
Value
$16.32M

Campbell Soup Company
CPB
Shares Held
91K
Value
$4.15M

Open Text Corporation
OTEX
Shares Held
91K
Value
$4.61M

Zai Lab Limited
ZLAB
Shares Held
90K
Value
$15.89M

argenx SE
ARGX
Shares Held
90K
Value
$27.09M

CF Industries Holdings, Inc.
CF
Shares Held
88K
Value
$4.55M

VeriSign, Inc.
VRSN
Shares Held
88K
Value
$20.13M
