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Stock Style shows hedge fund manager's main investment focus in Value or Growth. It is determined based on analysis of portfolio holdings that are part of about 3000 US Stocks.
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Market Cap
Large
Value
Mid
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Small
Growth
20
9
9
2
4
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20
12
12
NIKKO ASSET MANAGEMENT AMERICAS INC

Time Period2019-06-30

Total Holdings168

Total Value ($x1000)5,097,681
Activities
New11

Increased81

Unchanged1

Decreased75

Sold Out12

Top 10 Stock Holdingstotal 35.56%
SQ7.16

AAPL4.12

NVDA3.97

AMZN3.37

Z3.26

 
ILMN3.01

TSLA2.88

TREE2.76

BABA2.57

NVTA2.46

-- hover over a symbol below for details --
SEC 13F
Filing
Detail
Sort:
SQ
7.16%
CL A
AAPL
4.12%
COM
NVDA
3.97%
COM
AMZN
3.37%
COM
Z
3.26%
CL C CAP STK
ILMN
3.01%
COM
TSLA
2.88%
COM
TREE
2.76%
COM
BABA
2.57%
SPONSORED ADS
NVTA
2.46%
COM
PYPL
2.45%
COM
TWTR
2.17%
COM
SPLK
2.13%
COM
CRM
1.99%
COM
BIDU
1.95%
SPON ADR REP A
CRSP
1.73%
NAMEN AKT
SSYS
1.7%
SHS
NTLA
1.66%
COM
LC
1.65%
COM
INTU
1.55%
COM
EDIT
1.51%
COM
NSTG
1.48%
COM
PDD
1.35%
SPONSORED ADS
FB
1.3%
CL A
TSM
1.21%
SPONSORED ADR
VRSK
1.21%
CL A
VCYT
1.2%
COM
MELI
1.19%
COM
GWRE
1.18%
COM
IBKR
1.08%
COM
SHOP
1.03%
CL A
ICE
0.97%
COM
TDOC
0.94%
COM
NDAQ
0.93%
COM
EB
0.84%
CL A
XLNX
0.77%
COM
REGN
0.76%
COM
HDB
0.74%
ADR REPS 3 SHS
TER
0.72%
COM
BMY
0.72%
COM
TRU
0.71%
COM
TWLO
0.69%
CL A
SPOT
0.64%
SHS
SCHW
0.63%
COM
IOVA
0.61%
COM
BBL
0.56%
SPONSORED ADR
CERS
0.56%
COM
SYRS
0.54%
COM
APTV
0.54%
SHS
TRMB
0.51%
COM
AVAV
0.51%
COM
RIO
0.47%
SPONSORED ADR
MTLS
0.44%
SPONSORED ADS
NTR
0.41%
COM
XON
0.41%
COM
DE
0.4%
COM
NFLX
0.4%
COM
IONS
0.39%
COM
RUBY
0.39%
COM
VRTX
0.38%
COM
TMO
0.38%
COM
CLLS
0.37%
SPONSORED ADS
PRLB
0.37%
COM
TWOU
0.36%
COM
GH
0.36%
COM
XOM
0.36%
COM
RDS/A
0.33%
SPONS ADR A
BLUE
0.33%
COM
SLB
0.33%
COM
MCRB
0.31%
COM
TOT
0.31%
SPONSORED ADR
CVX
0.29%
COM
GOOG
0.28%
CAP STK CL C
CDXS
0.28%
COM
INO
0.28%
COM NEW
JD
0.27%
SPON ADR CL A
PKI
0.26%
COM
INCY
0.26%
COM
SRPT
0.26%
COM
BP
0.24%
SPONSORED ADR
NXPI
0.23%
COM
NTNX
0.23%
CL A
GM
0.21%
COM
CBPO
0.2%
COM
HAL
0.2%
COM
FATE
0.2%
COM
ANSS
0.2%
COM
IP
0.2%
COM
CBMG
0.17%
COM NEW
FCX
0.17%
COM
SU
0.17%
COM
CXO
0.16%
COM
KTOS
0.15%
COM NEW
FANG
0.15%
COM
ABX
0.15%
COM
TECK
0.15%
CL B
CAT
0.14%
COM
NUE
0.14%
COM
AEM
0.14%
COM
BHGE
0.14%
CL A
DPZ
0.14%
COM
WY
0.14%
COM
FTI
0.14%
COM
AU
0.13%
SPONSORED ADR
BTG
0.13%
COM
XONE
0.13%
COM
CLXT
0.13%
COM
AGI
0.12%
COM CL A
CGEN
0.12%
ORD
OXY
0.12%
COM
SNPS
0.12%
COM
OIS
0.11%
COM
ONVO
0.11%
COM
ADM
0.11%
COM
EOG
0.11%
COM
STLD
0.11%
COM
CF
0.09%
COM
MPC
0.09%
COM
PXD
0.09%
COM
COG
0.09%
COM
CNQ
0.09%
COM
ALB
0.09%
COM
PKG
0.08%
COM
COP
0.08%
COM
PSX
0.08%
COM
DD
0.08%
COM
BLCM
0.07%
COM
CPE
0.07%
COM
PTEN
0.07%
COM
NEM
0.07%
COM
SCCO
0.07%
COM
ESLT
0.06%
ORD
WMB
0.06%
COM
LIN
0.06%
COM
FLIR
0.06%
COM
BG
0.05%
COM
HES
0.05%
COM
EQT
0.05%
COM
DOW
0.05%
COM
MOS
0.05%
COM
OKE
0.05%
COM
OII
0.05%
COM
UNVR
0.05%
COM
VLO
0.05%
COM
JAG
0.05%
COM
SNP
0.04%
SPON ADR H SHS
LBRT
0.04%
CL A
DRQ
0.04%
COM
PTR
0.04%
SPONSORED ADR
PBR
0.04%
SPONSORED ADR
RES
0.04%
COM
AA
0.03%
COM
WHD
0.03%
CL A
ARCT
0.02%
COM
PSTI
0.02%
COM
AQB
0.02%
COM NEW
BBD
0.02%
SP ADR PFD NEW
ESV
0.02%
SHS CLASS A
IRDM
0.01%
COM
LMT
0.01%
COM
ADSK
0.01%
COM
HEI
0.01%
COM
BA
0.01%
COM
AJRD
0.01%
COM
SPR
0.01%
COM CL A
TDY
0.01%
COM
GRMN
< 0.01%
SHS
TME
< 0.01%
SPON ADS
MDSO
2.43%
COM
DWDP
0.5%
COM
MGA
0.28%
COM
PCAR
0.21%
COM
APC
0.12%
COM
PRQR
0.11%
SHS EURO
SPN
0.08%
COM
CX
0.07%
SPON ADR NEW
RDC
0.04%
SHS CL A
HRS
0.01%
COM
ARCT
0.01%
SHS
SIRI
< 0.01%
COM