Banco de Sabadell, S.A - Stock Holdings in 13F Filings (SEC)

Updated on March 15, 2026.

Based on 13F Filings filed with the SEC on February 9, 2026, for the 2025 Q4 period, Banco de Sabadell, S.A held in its portfolio 63 assets valued at $153,459 (i.e. $153.46K).

The most valuable assets in the portfolio included: BROADCOM INC ($8.26K), ALPHABET INC-CL A ($7.34K), and MICROSOFT CORP ($7.23K).

The chart below shows the top 10 valuable assets, and the table below shows the top 63 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in Banco de Sabadell, S.A Portfolio
BROADCOM INC
ALPHABET INC-CL A
MICROSOFT CORP
JP MORGAN CHASE
APPLE INC
BANK OF AMERICA CORP
LILLY ELI AND CO
MASTERCARD INC
COSTCO WHOLESALE CORPORATION
EATON CORP PLC
Banco de Sabadell, S.A - Stock Holdings in 13F Filings (SEC)
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Name of Issuer No. of Shares Value ($) Class
BROADCOM INC 23870 8261 COM
ALPHABET INC-CL A 23436 7336 CAP STK CL A
MICROSOFT CORP 14938 7228 COM
JP MORGAN CHASE 20281 6532 COM
APPLE INC 19407 5274 COM
BANK OF AMERICA CORP 93230 5124 COM
LILLY ELI AND CO 4545 4882 COM
MASTERCARD INC 8083 4617 CL A
COSTCO WHOLESALE CORPORATION 5046 4350 COM
EATON CORP PLC 13174 4198 SHS
AMAZONCOM INC 16079 3710 COM
CISCO SYSTEMS INC 46540 3578 COM
BLACKROCK INC 3279 3507 COM
ISHARES DJ SELECT DIVIDEND INDEX 24726 3491 ETF
NEXTERA ENERGY INC 41581 3343 COM
META PLATFORMS INC 4973 3280 CL A
JOHNSON AND JOHNSON 15088 3118 COM
WISDOMTREE US QUALITY DV GRWTH 33801 3019 US QTLY DIV GRT
TJX COMPANIES INC 19375 2975 COM
ANALOG DEVICES INC 10551 2860 COM
ACCENTURE PLC - CL A 10533 2828 SHS CLASS A
COCA COLA CO 39785 2783 COM
ASML HOLDING NV 2500 2674 SHS
MCDONALDS CORP 8636 2643 COM
THERMO FISHER SCIENTIFIC INC 4547 2637 COM
ISHARES MSCI EUROPE FINANCIALS-ETF 64683 2402 ETF
AMGEN INC 7272 2382 COM
US BANCORP 43890 2341 COM NEW
VALERO ENERGY CORP 14103 2291 COM
CHEVRON CORP 14798 2258 COM
HOME DEPOT INC 6363 2187 COM
MEDTRONIC PLC 22700 2180 SHS
CME GROUP INC 7716 2111 COM
WALMART INC 18870 2097 COM
STARBUCKS CORP 23946 2016 COM
UNITEDHEALTH GROUP 5932 1956 COM
PROCTER AND GAMBLE 13260 1905 COM
CSX CORP 52516 1903 COM
SAP AG-SPONS ADR 7657 1861 SPON ADR
UNION PACIFIC CORPORATION 7558 1745 COM
TEXAS INSTRUMENTS 9835 1704 COM
AIR PRODUCTS AND CHEMICALS INC 6840 1693 COM
QUALCOMM INC 9615 1645 COM
STRYKER CORP 4371 1532 COM
MERCK AND CO INC 11836 1245 COM
TE CONNECTIVITY PLC 4549 1036 ORD SHS
NOVO-NORDISK A S-SPONS ADR 17900 911 ADR
NVENT ELECTRIC PLC 8767 891 SHS
WALT DISNEY CO 7515 860 COM
SANOFI-AVENTIS-ADR 17090 828 SPONSORED ADR
NOVARTIS AG-ADR 5670 781 SPONSORED ADR
SHELL PLC- ADR 10535 773 SPON ADS
RELX PLC SPON ADR 19066 770 ADR
BRITISH AMERICAN TOBACCO PLC ADR 13199 748 SPONSORED ADR
UNILEVER PLC-ADR 10071 664 SPON ADR NEW
ASTRAZENECA-ADR 6773 619 SPONSORED ADR
EQUINOR ASA NPV - ADR 23101 544 ADR
JPMORGAN US QUALITY FACTOR ETF 1796 113 ETF
CAPITAL GROUP GROWTH ETF 1162 52 SHS
CAP GROUP DIVIDEND VALUE 1180 51 SHS
JPMORGAN INT RES ENH EQTY ETF 659 49 EQT
DIMENSIONAL EMERGING CORE EQ ETF 1058 34 EQT
JPM SMA MID CAP EN EQ ET ETF 517 33 CAP