
PICTET ASSET MANAGEMENT SA
Latest 13F filing data - Q2 2023
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | MDLZ | 697K | $50.85M |
![]() | AMCR | 695K | $6.94M |
![]() | CP | 692K | $55.92M |
![]() | HBAN | 691K | $7.45M |
![]() | PTCT | 686K | $27.92M |
![]() | WOLF | 684K | $38.05M |
![]() | MA | 676K | $265.69M |
![]() | FAST | 673K | $39.70M |
![]() | COP | 666K | $69.02M |
![]() | TFC | 666K | $20.21M |
![]() | MTCH | 663K | $27.75M |
![]() | RL | 657K | $81.07M |
![]() | CTSH | 650K | $42.40M |
![]() | ALNY | 649K | $123.18M |
![]() | HPE | 648K | $10.89M |
![]() | CVX | 647K | $101.79M |
![]() | BRK-B | 640K | $218.32M |
![]() | PLRX | 640K | $11.59M |
![]() | DHI | 637K | $77.47M |
![]() | RCUS | 634K | $12.88M |

Mondelez International, Inc.
MDLZ
Shares Held
697K
Value
$50.85M

Amcor plc
AMCR
Shares Held
695K
Value
$6.94M

Canadian Pacific Kansas City Ltd.
CP
Shares Held
692K
Value
$55.92M

Huntington Bancshares Incorporated
HBAN
Shares Held
691K
Value
$7.45M

PTC Therapeutics, Inc.
PTCT
Shares Held
686K
Value
$27.92M

Wolfspeed, Inc.
WOLF
Shares Held
684K
Value
$38.05M

Mastercard Incorporated
MA
Shares Held
676K
Value
$265.69M

Fastenal Company
FAST
Shares Held
673K
Value
$39.70M

ConocoPhillips
COP
Shares Held
666K
Value
$69.02M

Truist Financial Corporation
TFC
Shares Held
666K
Value
$20.21M

Match Group, Inc.
MTCH
Shares Held
663K
Value
$27.75M

Ralph Lauren Corporation
RL
Shares Held
657K
Value
$81.07M

Cognizant Technology Solutions Corporation
CTSH
Shares Held
650K
Value
$42.40M

Alnylam Pharmaceuticals, Inc.
ALNY
Shares Held
649K
Value
$123.18M

Hewlett Packard Enterprise Company
HPE
Shares Held
648K
Value
$10.89M

Chevron Corporation
CVX
Shares Held
647K
Value
$101.79M

Berkshire Hathaway Inc.
BRK-B
Shares Held
640K
Value
$218.32M

Pliant Therapeutics, Inc.
PLRX
Shares Held
640K
Value
$11.59M

D.R. Horton, Inc.
DHI
Shares Held
637K
Value
$77.47M

Arcus Biosciences, Inc.
RCUS
Shares Held
634K
Value
$12.88M
