Nippon Life Global Investors Americas, Inc. - Stock Holdings in 13F Filings (SEC)

Updated on March 15, 2026.

Based on 13F Filings filed with the SEC on January 29, 2026, for the 2025 Q4 period, Nippon Life Global Investors Americas, Inc. held in its portfolio 104 assets valued at $2,413,713,669 (i.e. $2.41B).

The most valuable assets in the portfolio included: NVIDIA CORPORATION ($219.86M), MICROSOFT CORP ($187.24M), and ALPHABET INC ($146.17M).

The chart below shows the top 10 valuable assets, and the table below shows the top 104 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in Nippon Life Global Investors Americas, Inc. Portfolio
NVIDIA CORPORATION
MICROSOFT CORP
ALPHABET INC
AMAZON COM INC
BROADCOM INC
APPLE INC
ELI LILLY & CO
CITIGROUP INC
3M CO
META PLATFORMS INC
Nippon Life Global Investors Americas, Inc. - Stock Holdings in 13F Filings (SEC)
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Name of Issuer No. of Shares Value ($) Class
NVIDIA CORPORATION 1178890 219862985 COM
MICROSOFT CORP 387160 187238319 COM
ALPHABET INC 465810 146171178 CAP STK CL C
AMAZON COM INC 547770 126436271 COM
BROADCOM INC 331100 114593710 COM
APPLE INC 352920 95944831 COM
ELI LILLY & CO 76060 81740162 COM
CITIGROUP INC 686740 80135691 COM NEW
3M CO 363810 58245981 COM
META PLATFORMS INC 87610 57830485 CL A
AMPHENOL CORP NEW 408630 55313755 CL A
COSTCO WHSL CORP NEW 63690 54922435 COM
BANK AMERICA CORP 879330 48363150 COM
GOLDMAN SACHS GROUP INC 54900 48257100 COM
MEDTRONIC PLC 493920 47796639 SHS
WALMART INC 379690 42381580 COM
GE HEALTHCARE TECHNOLOGIES I 500220 41028045 COMMON STOCK
SERVICENOW INC 265700 40702584 COM
MASTERCARD INCORPORATED 69210 39510605 CL A
CATERPILLAR INC 67260 38531236 COM
LAM RESEARCH CORP 219470 37621261 COM NEW
BOEING CO 166280 36102714 COM
TESLA INC 78410 35262546 COM
AON PLC 98970 34924533 SHS CL A
CBRE GROUP INC 206880 33264236 CL A
CONSTELLATION ENERGY CORP 83910 29642886 COM
TJX COS INC NEW 192800 29616008 COM
CARDINAL HEALTH INC 134010 27539055 COM
LINDE PLC 64260 27399821 SHS
AERCAP HOLDINGS NV 189430 27232457 SHS
RYDER SYS INC 140580 26905607 COM
SNOWFLAKE INC 111990 24566127 COM SHS
SPOTIFY TECHNOLOGY S A 41990 24384013 SHS
EQT CORP 361470 19374792 COM
SAMSARA INC 531310 18834940 COM CL A
MARATHON PETE CORP 114250 18580478 COM
ULTA BEAUTY INC 30200 18271302 COM
IQVIA HLDGS INC 79400 17897554 COM
INTERCONTINENTAL EXCHANGE IN 102480 16597662 COM
VISTRA CORP 100770 16257224 COM
NETFLIX INC 170430 15979517 COM
AMERICAN EXPRESS CO 39490 14609326 COM
JPMORGAN CHASE & CO. 43200 13919904 COM
APOLLO GLOBAL MGMT INC 82610 11958623 COM
S&P GLOBAL INC 22530 11773953 COM
MARRIOTT INTL INC NEW 34840 10808762 CL A
ABBVIE INC 46250 10567663 COM
AMERIPRISE FINL INC 20070 9841124 COM
MONDELEZ INTL INC 170170 9236828 CL A
IRON MTN INC DEL 108430 9066064 COM
FLOWSERVE CORP 117110 8147226 COM
CVS HEALTH CORP 101550 8059008 COM
FREEPORT-MCMORAN INC 149080 7571773 CL B
DISNEY WALT CO 63390 7252353 COM
HOME DEPOT INC 19310 6644571 COM
TAPESTRY INC 50200 6414055 COM
AUTOZONE INC 1870 6342105 COM
DOCUSIGN INC 91590 6264756 COM
PROGRESSIVE CORP 25440 5793197 COM
CHEVRON CORP NEW 35430 5399886 COM
ECOLAB INC 19440 5116411 COM
EXACT SCIENCES CORP 48940 4970346 COM
BIOGEN INC 26490 4661975 COM
DEXCOM INC 65270 4331970 COM
WINGSTOP INC 17200 4102028 COM
CONOCOPHILLIPS 42110 3941917 COM
COCA COLA CO 53790 3760459 COM
OPTION CARE HEALTH INC 112890 3596675 COM NEW
PLANET FITNESS INC 32400 3514428 CL A
ROYAL CARIBBEAN GROUP 12390 3468209 COM
ROLLINS INC 54570 3275291 COM
NIKE INC 46660 2991524 CL B
TARGA RES CORP 14780 2726910 COM
EATON CORP PLC 8410 2678669 SHS
REPUBLIC SVCS INC 10260 2174402 COM
ADVANCED MICRO DEVICES INC 10070 2156591 COM
THERMO FISHER SCIENTIFIC INC 3240 1878792 COM
GRACO INC 18660 1529560 COM
XYLEM INC 10750 1463935 COM
CINTAS CORP 7400 1391718 COM
PROCTER AND GAMBLE CO 9130 1308420 COM
OTIS WORLDWIDE CORP 14480 1264828 COM
VISA INC 3570 1252035 COM CL A
CADENCE DESIGN SYSTEM INC 3650 1140917 COM
MARVELL TECHNOLOGY INC 12930 1098791 COM
VERTEX PHARMACEUTICALS INC 2250 1020060 COM
F5 INC 3970 1013382 COM
TRANE TECHNOLOGIES PLC 2600 1011920 SHS
BOOKING HOLDINGS INC 180 963959 COM
NEXTERA ENERGY INC 11410 915995 COM
AMETEK INC 3580 735010 COM
MORGAN STANLEY 4080 724322 COM NEW
SHERWIN WILLIAMS CO 2210 716106 COM
CHURCH & DWIGHT CO INC 8170 685055 COM
ASSURANT INC 2640 635844 COM
SEMPRA 6920 614421 COM
PHILLIPS 66 4730 610359 COM
OREILLY AUTOMOTIVE INC 6550 597426 COM
COTERRA ENERGY INC 21620 569038 COM
EXXON MOBIL CORP 4610 554767 COM
MAGNITE INC 32180 522281 COM
LATTICE SEMICONDUCTOR CORP 6440 473855 COM
CHENIERE ENERGY INC 1630 316856 COM NEW
ENCOMPASS HEALTH CORP 2860 303560 COM