Holdings Channel
Size ($ in 1000's)
At 12/31/2023: $28,203,537
At 09/30/2023: $24,580,042

Combined Holding Report Includes:
KBC Group NV
KBC Bank NV
KBC Asset Management NV
KBC Fund Management Ltd.
CSOB Asset Management a.s.

KBC Group NV holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from KBC Group NV 13F filings. Link to 13F filings: SEC filings

KBC Group NV Top Holdings
As of  12/31/2023, below is a summary of the KBC Group NV top holdings by largest position size, as per the latest 13f filing made by KBC Group NV. In the KBC Group NV-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares held by KBC Group NV in that top holding, then the share count change between reporting periods, and finally the KBC Group NV top holding position size for that row.

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
MICROSOFT CORP 5,598,826 +236,520 $2,105,382
     MSFT5,598,826+236,520$2,105,382
APPLE INC 6,689,118 +172,718 $1,287,856
     AAPL6,689,118+172,718$1,287,856
NVIDIA CORPORATION 1,975,760 +252,563 $978,436
     NVDA1,975,760+252,563$978,436
AMAZON COM INC 6,333,569 +195,264 $962,323
     AMZN6,333,569+195,264$962,323
ALPHABET INC 5,388,395 +315,220 $759,387
     GOOG5,388,395+315,220$759,387
UNITEDHEALTH GROUP INC 723,816 -58,095 $381,067
     UNH723,816-58,095$381,067
SALESFORCE INC 1,393,375 -6,070 $366,653
     CRM1,393,375-6,070$366,653
VISA INC 1,392,088 +39,530 $362,430
     V1,392,088+39,530$362,430
ADOBE INC 595,358 +4,757 $355,190
     ADBE595,358+4,757$355,190
ELI LILLY & CO 574,395 +24,607 $334,826
     LLY574,395+24,607$334,826
BROADCOM INC 274,615 +75,813 $306,539
     AVGO274,615+75,813$306,539
PEPSICO INC 1,727,078 -63,710 $293,327
     PEP1,727,078-63,710$293,327
JPMORGAN CHASE & CO 1,712,901 +629 $291,365
     JPM1,712,901+629$291,365
JOHNSON & JOHNSON 1,795,253 -190,926 $281,388
     JNJ1,795,253-190,926$281,388
TESLA INC 1,067,601 -95,734 $265,278
     TSLA1,067,601-95,734$265,278
MERCK & CO INC 2,396,127 +196,508 $261,226
     MRK2,396,127+196,508$261,226
THERMO FISHER SCIENTIFIC INC 467,770 -30,058 $248,288
     TMO467,770-30,058$248,288
ACCENTURE PLC IRELAND 695,150 +47,905 $243,935
     ACN695,150+47,905$243,935
ALPHABET INC 1,709,191 +33,131 $238,757
     GOOGL1,709,191+33,131$238,757
MASTERCARD INCORPORATED 541,798 +3,758 $231,083
     MA541,798+3,758$231,083
META PLATFORMS INC 621,808 +11,488 $220,095
     META621,808+11,488$220,095
HOME DEPOT INC 610,747 +54,819 $211,655
     HD610,747+54,819$211,655
QUALCOMM INC 1,433,764 +94,373 $207,365
     QCOM1,433,764+94,373$207,365
APPLIED MATLS INC 1,241,824 +66,505 $201,263
     AMAT1,241,824+66,505$201,263
PROCTER AND GAMBLE CO 1,372,842 +72,007 $201,176
     PG1,372,842+72,007$201,176
INTUIT 304,736 -47,159 $190,469
     INTU304,736-47,159$190,469
BANK AMERICA CORP 5,648,096 +299,898 $190,171
     BAC5,648,096+299,898$190,171
SERVICENOW INC 260,582 +2,834 $184,099
     NOW260,582+2,834$184,099
DISNEY WALT CO 1,887,524 -291,664 $170,424
     DIS1,887,524-291,664$170,424
ABBOTT LABS 1,517,685 -261,797 $167,052
     ABT1,517,685-261,797$167,052
ABBVIE INC 1,072,241 +52,489 $166,166
     ABBV1,072,241+52,489$166,166
BOOKING HOLDINGS INC 46,306 -2,473 $164,258
     BKNG46,306-2,473$164,258
COCA COLA CO 2,662,909 -47,344 $156,925
     KO2,662,909-47,344$156,925
SYNOPSYS INC 302,797 +844 $155,913
     SNPS302,797+844$155,913
CISCO SYS INC 3,068,472 +553,943 $155,019
     CSCO3,068,472+553,943$155,019
LOWES COS INC 673,886 +247,913 $149,973
     LOW673,886+247,913$149,973
LINDE PLC 359,566 +720 $147,678
     LIN359,566+720$147,678
ADVANCED MICRO DEVICES INC 1,001,384 +215,786 $147,614
     AMD1,001,384+215,786$147,614
BRISTOL MYERS SQUIBB CO 2,847,400 +1,367,151 $146,100
     BMY2,847,400+1,367,151$146,100
S&P GLOBAL INC 322,038 -2,661 $141,865
     SPGI322,038-2,661$141,865
AMERICAN EXPRESS CO 733,470 +144,721 $137,409
     AXP733,470+144,721$137,409
VERIZON COMMUNICATIONS INC 3,579,274 +57,054 $134,938
     VZ3,579,274+57,054$134,938
PFIZER INC 4,376,037 +1,246,769 $125,987
     PFE4,376,037+1,246,769$125,987
INTEL CORP 2,481,603 +871,489 $124,700
     INTC2,481,603+871,489$124,700
LAM RESEARCH CORP 159,150 +51,599 $124,656
     LRCX159,150+51,599$124,656
MCDONALDS CORP 418,588 +37,359 $124,115
     MCD418,588+37,359$124,115
DANAHER CORPORATION 527,598 -84,126 $122,054
     DHR527,598-84,126$122,054
TEXAS INSTRS INC 706,584 -24,491 $120,444
     TXN706,584-24,491$120,444
AMERICAN WTR WKS CO INC NEW 903,101 +19,068 $119,201
     AWK903,101+19,068$119,201
EDWARDS LIFESCIENCES CORP 1,556,653 -206,996 $118,695
     EW1,556,653-206,996$118,695

See Full List: All Stocks Held By KBC Group NV
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By KBC Group NV

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