
RESONA ASSET MANAGEMENT CO.,LTD.
Latest 13F filing data - Q3 2025
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | MRK | 937K | $77.90M |
![]() | TSLA | 934K | $414.93M |
![]() | NU | 908K | $14.52M |
![]() | JPM | 898K | $283.23M |
![]() | JNJ | 866K | $160.06M |
![]() | APH | 847K | $104.24M |
![]() | PG | 840K | $128.99M |
![]() | V | 745K | $254.09M |
![]() | GRAB | 741K | $4.47M |
![]() | WBD | 734K | $14.26M |
![]() | ORCL | 722K | $203.40M |
![]() | KVUE | 719K | $11.70M |
![]() | AMCR | 705K | $5.77M |
![]() | EXPO | 705K | $48.98M |
![]() | PLTR | 703K | $127.86M |
![]() | META | 691K | $508.66M |
![]() | BMY | 691K | $31.07M |
![]() | PCG | 684K | $10.32M |
![]() | VICI | 676K | $22.01M |
![]() | NEE | 666K | $50.34M |

Merck & Co., Inc.
MRK
Shares Held
937K
Value
$77.90M

Tesla, Inc.
TSLA
Shares Held
934K
Value
$414.93M

Nu Holdings Ltd.
NU
Shares Held
908K
Value
$14.52M

JPMorgan Chase & Co.
JPM
Shares Held
898K
Value
$283.23M

Johnson & Johnson
JNJ
Shares Held
866K
Value
$160.06M

Amphenol Corporation
APH
Shares Held
847K
Value
$104.24M

The Procter & Gamble Company
PG
Shares Held
840K
Value
$128.99M

Visa Inc.
V
Shares Held
745K
Value
$254.09M

Grab Holdings Limited
GRAB
Shares Held
741K
Value
$4.47M

Warner Bros. Discovery, Inc.
WBD
Shares Held
734K
Value
$14.26M

Oracle Corporation
ORCL
Shares Held
722K
Value
$203.40M

Kenvue Inc.
KVUE
Shares Held
719K
Value
$11.70M

Amcor plc
AMCR
Shares Held
705K
Value
$5.77M

Exponent, Inc.
EXPO
Shares Held
705K
Value
$48.98M

Palantir Technologies Inc.
PLTR
Shares Held
703K
Value
$127.86M

Meta Platforms, Inc.
META
Shares Held
691K
Value
$508.66M

Bristol-Myers Squibb Company
BMY
Shares Held
691K
Value
$31.07M

Pacific Gas & Electric Co.
PCG
Shares Held
684K
Value
$10.32M

VICI Properties Inc.
VICI
Shares Held
676K
Value
$22.01M

NextEra Energy, Inc.
NEE
Shares Held
666K
Value
$50.34M
