
CANDRIAM S.C.A.
Latest 13F filing data - Q3 2025
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | CNTA | 343K | $8.32M |
![]() | QCOM | 341K | $56.71M |
![]() | HD | 338K | $136.89M |
![]() | CL | 336K | $26.85M |
![]() | NUVL | 330K | $28.51M |
![]() | PCG | 323K | $4.87M |
![]() | BMA | 323K | $13.64M |
![]() | CM | 319K | $25.53M |
![]() | XOM | 319K | $35.94M |
![]() | CCK | 318K | $30.67M |
![]() | META | 316K | $232.16M |
![]() | FTNT | 310K | $26.08M |
![]() | WTRG | 309K | $12.35M |
![]() | HIMS | 306K | $17.37M |
![]() | PEP | 306K | $42.92M |
![]() | ECL | 305K | $83.59M |
![]() | PTC | 302K | $61.37M |
![]() | INTC | 301K | $10.11M |
![]() | DNTH | 301K | $11.86M |
![]() | TSLA | 298K | $132.64M |

Centessa Pharmaceuticals plc
CNTA
Shares Held
343K
Value
$8.32M

QUALCOMM Incorporated
QCOM
Shares Held
341K
Value
$56.71M

The Home Depot, Inc.
HD
Shares Held
338K
Value
$136.89M

Colgate-Palmolive Company
CL
Shares Held
336K
Value
$26.85M

Nuvalent, Inc.
NUVL
Shares Held
330K
Value
$28.51M

Pacific Gas & Electric Co.
PCG
Shares Held
323K
Value
$4.87M

Banco Macro S.A.
BMA
Shares Held
323K
Value
$13.64M

Canadian Imperial Bank of Commerce
CM
Shares Held
319K
Value
$25.53M

Exxon Mobil Corporation
XOM
Shares Held
319K
Value
$35.94M

Crown Holdings, Inc.
CCK
Shares Held
318K
Value
$30.67M

Meta Platforms, Inc.
META
Shares Held
316K
Value
$232.16M

Fortinet, Inc.
FTNT
Shares Held
310K
Value
$26.08M

Essential Utilities, Inc.
WTRG
Shares Held
309K
Value
$12.35M

Hims & Hers Health, Inc.
HIMS
Shares Held
306K
Value
$17.37M

PepsiCo, Inc.
PEP
Shares Held
306K
Value
$42.92M

Ecolab Inc.
ECL
Shares Held
305K
Value
$83.59M

PTC Inc.
PTC
Shares Held
302K
Value
$61.37M

Intel Corporation
INTC
Shares Held
301K
Value
$10.11M

Dianthus Therapeutics, Inc.
DNTH
Shares Held
301K
Value
$11.86M

Tesla, Inc.
TSLA
Shares Held
298K
Value
$132.64M
