|
Entity | Shares/Amount Change | Position Value Change |
IVV |
+555,000 | +$266,630 | GSG |
+2,114,327 | +$46,642 | KLAC |
+7,200 | +$4,879 | MNST |
+58,900 | +$3,402 | PAYX |
+20,200 | +$2,461 | COR |
+5,529 | +$1,343 | DUOL |
+3,022 | +$667 | FI |
+3,550 | +$567 |
Entity | Shares/Amount Change | Position Value Change |
ABC |
-5,772 | -$1,039 | CTVA |
-8,230 | -$394 | VTRS |
-28,335 | -$307 |
Entity | Shares/Amount Change | Position Value Change |
SCHD |
+3,320,000 | +$242,962 | VWO |
+3,035,472 | +$127,580 | TIP |
+648,150 | +$69,567 | VNQ |
+325,887 | +$27,749 | SCHP |
+142,000 | +$7,254 | USRT |
+127,200 | +$6,543 | GOOGL |
+60,520 | +$10,331 | BKLN |
+55,491 | +$1,085 | IFRA |
+44,000 | +$2,615 | BSX |
+42,009 | +$3,617 |
Entity | Shares/Amount Change | Position Value Change |
EMB |
-1,767,678 | -$156,952 | USHY |
-445,900 | -$16,697 | VWOB |
-241,500 | -$15,885 | IEMG |
-200,800 | -$10,859 | FEZ |
-107,300 | -$3,496 | AAPL |
-40,217 | -$11,702 | VOO |
-22,900 | -$7,286 | TSLA |
-9,378 | -$4,388 | APTV |
-8,380 | -$933 |
Size ($ in 1000's)
At 03/31/2024: $4,084,317 At 12/31/2023: $3,216,110
Sumitomo Life Insurance Co. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Sumitomo Life Insurance Co. 13F filings.
Link to 13F filings: SEC filings
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|
|
As of 03/31/2024, we find all stocks held by Sumitomo Life Insurance Co. to be as follows, presented in the
table below with each row detailing each Sumitomo Life Insurance Co. position, ordered by largest to smallest position size.
The all-stocks-held-by-Sumitomo Life Insurance Co. table shows the entity held in the first column (click any entity to explore other funds
holding positions), the share amount held, the share count change between the last two reporting periods, and finally the
position size for all stocks held by Sumitomo Life Insurance Co. as of the latest filing.
Entity | Amount | Change
12/31/2023 to 03/31/2024 |
Position Size
($ in 1000's) |
VANGUARD WHITEHALL FDS HIGH DIV YLD (VYM) |
15,133,322 |
UNCH |
$1,830,981 | VYM | 15,133,322 | UNCH | $1,830,981 | SCHWAB STRATEGIC TR US DIVIDEND EQ |
6,320,000 |
+3,320,000 |
$471,352 | SCHD | 6,320,000 | +3,320,000 | $471,352 | ISHARES CORE S&P500 ETF (IVV) |
555,000 |
+555,000 |
$266,630 | IVV | 555,000 | +555,000 | $266,630 | VANGUARD INTL EQUITY INDEX F FTSE EMR MKT ETF (VWO) |
4,212,007 |
+3,035,472 |
$175,936 | VWO | 4,212,007 | +3,035,472 | $175,936 | ISHARES TR TIPS BD ETF (TIP) |
1,280,653 |
+648,150 |
$137,555 | TIP | 1,280,653 | +648,150 | $137,555 | ISHARES TR JPMORGAN USD EMG (EMB) |
783,005 |
-1,767,678 |
$70,212 | EMB | 783,005 | -1,767,678 | $70,212 | INVESCO EXCH TRADED FD TR II SR LN ETF (BKLN) |
3,011,216 |
+55,491 |
$63,687 | BKLN | 3,011,216 | +55,491 | $63,687 | MICROSOFT CORP COM |
147,474 |
+24,251 |
$60,782 | MSFT | 147,474 | +24,251 | $60,782 | VANGUARD INDEX FDS REAL ESTATE ETF (VNQ) |
556,530 |
+325,887 |
$48,129 | VNQ | 556,530 | +325,887 | $48,129 | NVIDIA CORPORATION COM |
57,062 |
+4,411 |
$46,874 | NVDA | 57,062 | +4,411 | $46,874 | ISHARES S&P GSCI COMMODITY UNIT BEN INT (GSG) |
2,114,327 |
+2,114,327 |
$46,642 | GSG | 2,114,327 | +2,114,327 | $46,642 | APPLE INC COM |
195,187 |
-40,217 |
$33,620 | AAPL | 195,187 | -40,217 | $33,620 | AMAZON COM INC COM |
175,523 |
+37,967 |
$30,052 | AMZN | 175,523 | +37,967 | $30,052 | VANGUARD INDEX FDS S&P 500 ETF SHS (VOO) |
61,900 |
-22,900 |
$29,755 | VOO | 61,900 | -22,900 | $29,755 | ALPHABET INC CAP STK CL A |
173,569 |
+60,520 |
$26,123 | GOOGL | 173,569 | +60,520 | $26,123 | META PLATFORMS INC CL A |
49,537 |
+13,893 |
$24,121 | META | 49,537 | +13,893 | $24,121 | SCHWAB STRATEGIC TR US TIPS ETF (SCHP) |
457,800 |
+142,000 |
$23,739 | SCHP | 457,800 | +142,000 | $23,739 | ISHARES INC CORE MSCI EMKT (IEMG) |
476,200 |
-200,800 |
$23,384 | IEMG | 476,200 | -200,800 | $23,384 | SPDR INDEX SHS FDS EURO STOXX 50 (FEZ) |
344,800 |
-107,300 |
$18,119 | FEZ | 344,800 | -107,300 | $18,119 | ELI LILLY & CO COM |
24,503 |
+3,076 |
$18,115 | LLY | 24,503 | +3,076 | $18,115 | ISHARES TR BROAD USD HIGH (USHY) |
439,400 |
-445,900 |
$15,484 | USHY | 439,400 | -445,900 | $15,484 | VANGUARD WHITEHALL FDS EM MK GOV BD ETF (VWOB) |
238,700 |
-241,500 |
$14,728 | VWOB | 238,700 | -241,500 | $14,728 | UNITEDHEALTH GROUP INC COM |
24,502 |
+5,204 |
$12,452 | UNH | 24,502 | +5,204 | $12,452 | MASTERCARD INCORPORATED CL A |
26,618 |
+6,687 |
$11,941 | MA | 26,618 | +6,687 | $11,941 | ISHARES TR CRE U S REIT ETF (USRT) |
225,200 |
+127,200 |
$11,863 | USRT | 225,200 | +127,200 | $11,863 | ISHARES TR US INFRASTRUC (IFRA) |
273,000 |
+44,000 |
$11,837 | IFRA | 273,000 | +44,000 | $11,837 | ALPHABET INC CAP STK CL C |
77,715 |
-2,840 |
$11,833 | GOOG | 77,715 | -2,840 | $11,833 | PROCTER AND GAMBLE CO COM |
71,765 |
+20,030 |
$11,218 | PG | 71,765 | +20,030 | $11,218 | ADOBE INC COM |
20,499 |
+4,373 |
$11,042 | ADBE | 20,499 | +4,373 | $11,042 | SERVICENOW INC COM |
14,606 |
+4,043 |
$10,770 | NOW | 14,606 | +4,043 | $10,770 | JPMORGAN CHASE & CO COM |
52,257 |
-1,683 |
$10,467 | JPM | 52,257 | -1,683 | $10,467 | THERMO FISHER SCIENTIFIC INC COM |
17,690 |
+4,186 |
$9,709 | TMO | 17,690 | +4,186 | $9,709 | ADVANCED MICRO DEVICES INC COM |
53,131 |
+30,676 |
$9,539 | AMD | 53,131 | +30,676 | $9,539 | VISA INC COM CL A |
30,698 |
-2,034 |
$8,567 | V | 30,698 | -2,034 | $8,567 | CROWDSTRIKE HLDGS INC CL A |
27,272 |
+13,574 |
$8,469 | CRWD | 27,272 | +13,574 | $8,469 | NETFLIX INC COM |
12,904 |
+2,466 |
$7,837 | NFLX | 12,904 | +2,466 | $7,837 | S&P GLOBAL INC COM |
18,869 |
+4,413 |
$7,793 | SPGI | 18,869 | +4,413 | $7,793 | COSTCO WHSL CORP NEW COM |
11,304 |
+89 |
$7,767 | COST | 11,304 | +89 | $7,767 | BROADCOM INC COM |
5,842 |
-223 |
$7,743 | AVGO | 5,842 | -223 | $7,743 | BOSTON SCIENTIFIC CORP COM |
111,268 |
+42,009 |
$7,621 | BSX | 111,268 | +42,009 | $7,621 | HOME DEPOT INC COM |
18,547 |
-1,123 |
$7,115 | HD | 18,547 | -1,123 | $7,115 | INTUITIVE SURGICAL INC COM NEW |
17,420 |
+7,120 |
$6,846 | ISRG | 17,420 | +7,120 | $6,846 | AIRBNB INC COM CL A |
42,638 |
+22,429 |
$6,717 | ABNB | 42,638 | +22,429 | $6,717 | ZOETIS INC CL A |
37,040 |
+9,668 |
$6,406 | ZTS | 37,040 | +9,668 | $6,406 | WASTE MGMT INC DEL COM |
29,959 |
+3,819 |
$6,386 | WM | 29,959 | +3,819 | $6,386 | NEXTERA ENERGY INC COM |
103,397 |
+35,385 |
$6,176 | NEE | 103,397 | +35,385 | $6,176 | NIKE INC CL B |
60,001 |
+4,641 |
$6,000 | NKE | 60,001 | +4,641 | $6,000 | ACCENTURE PLC IRELAND SHS CLASS A |
15,394 |
-436 |
$5,336 | ACN | 15,394 | -436 | $5,336 | UBER TECHNOLOGIES INC COM |
68,800 |
+16,500 |
$5,297 | UBER | 68,800 | +16,500 | $5,297 | CME GROUP INC COM |
24,344 |
+16,921 |
$5,270 | CME | 24,344 | +16,921 | $5,270 | EATON CORP PLC SHS |
16,393 |
-500 |
$5,126 | ETN | 16,393 | -500 | $5,126 | EXXON MOBIL CORP COM |
44,057 |
-1,678 |
$5,121 | XOM | 44,057 | -1,678 | $5,121 | INTUIT COM |
7,824 |
-210 |
$5,086 | INTU | 7,824 | -210 | $5,086 | SYNOPSYS INC COM |
8,714 |
-238 |
$4,980 | SNPS | 8,714 | -238 | $4,980 | TESLA INC COM |
28,312 |
-9,378 |
$4,977 | TSLA | 28,312 | -9,378 | $4,977 | BERKSHIRE HATHAWAY INC DEL CL B NEW |
|
|
$4,952 | BRK.B | 11,776 | -2,067 | $4,952 | KLA CORP COM NEW |
7,200 |
+7,200 |
$4,879 | KLAC | 7,200 | +7,200 | $4,879 | CHEVRON CORP NEW COM |
30,512 |
-1,161 |
$4,813 | CVX | 30,512 | -1,161 | $4,813 | MCDONALDS CORP COM |
16,273 |
-524 |
$4,588 | MCD | 16,273 | -524 | $4,588 | TRANE TECHNOLOGIES PLC SHS |
15,148 |
-433 |
$4,547 | TT | 15,148 | -433 | $4,547 | AMERICAN EXPRESS CO COM |
19,490 |
-588 |
$4,438 | AXP | 19,490 | -588 | $4,438 | BOOKING HOLDINGS INC COM |
1,198 |
-34 |
$4,346 | BKNG | 1,198 | -34 | $4,346 | ABBVIE INC COM |
23,565 |
-898 |
$4,291 | ABBV | 23,565 | -898 | $4,291 | STRYKER CORPORATION COM |
11,222 |
-324 |
$4,016 | SYK | 11,222 | -324 | $4,016 | BANK AMERICA CORP COM |
105,199 |
+8,289 |
$3,989 | BAC | 105,199 | +8,289 | $3,989 | CADENCE DESIGN SYSTEM INC COM |
12,600 |
+5,000 |
$3,922 | CDNS | 12,600 | +5,000 | $3,922 | MERCK & CO INC COM |
29,455 |
-1,121 |
$3,887 | MRK | 29,455 | -1,121 | $3,887 | JOHNSON & JOHNSON COM |
24,341 |
-5,555 |
$3,851 | JNJ | 24,341 | -5,555 | $3,851 | CONOCOPHILLIPS COM |
29,672 |
-1,000 |
$3,777 | COP | 29,672 | -1,000 | $3,777 | PEPSICO INC COM |
21,138 |
+928 |
$3,699 | PEP | 21,138 | +928 | $3,699 | TETRA TECH INC NEW COM |
21,444 |
+6,131 |
$3,692 | TTEK | 21,444 | +6,131 | $3,692 | SALESFORCE INC COM |
12,005 |
-457 |
$3,616 | CRM | 12,005 | -457 | $3,616 | MONSTER BEVERAGE CORP NEW COM |
58,900 |
+58,900 |
$3,402 | MNST | 58,900 | +58,900 | $3,402 | VERTEX PHARMACEUTICALS INC COM |
7,698 |
-224 |
$3,218 | VRTX | 7,698 | -224 | $3,218 | EOG RES INC COM |
24,982 |
-771 |
$3,194 | EOG | 24,982 | -771 | $3,194 | ANALOG DEVICES INC COM |
15,733 |
-458 |
$3,112 | ADI | 15,733 | -458 | $3,112 | FORTINET INC COM |
43,557 |
-960 |
$2,975 | FTNT | 43,557 | -960 | $2,975 | CATERPILLAR INC COM |
8,020 |
-305 |
$2,939 | CAT | 8,020 | -305 | $2,939 | DISNEY WALT CO COM |
24,008 |
-914 |
$2,938 | DIS | 24,008 | -914 | $2,938 | MARSH & MCLENNAN COS INC COM |
13,951 |
-402 |
$2,874 | MMC | 13,951 | -402 | $2,874 | ARES MANAGEMENT CORPORATION |
21,606 |
-489 |
$2,873 | ARES | 21,606 | -489 | $2,873 | ORACLE CORP COM |
22,693 |
-892 |
$2,850 | ORCL | 22,693 | -892 | $2,850 | ROCKWELL AUTOMATION INC COM |
9,704 |
-250 |
$2,827 | ROK | 9,704 | -250 | $2,827 | PARKER HANNIFIN CORP COM |
5,043 |
+219 |
$2,803 | PH | 5,043 | +219 | $2,803 | WELLS FARGO CO NEW COM |
47,786 |
-1,820 |
$2,770 | WFC | 47,786 | -1,820 | $2,770 | TRIMBLE INC COM |
42,863 |
-1,275 |
$2,759 | TRMB | 42,863 | -1,275 | $2,759 | INTERNATIONAL BUSINESS MACHS COM |
14,245 |
-542 |
$2,720 | IBM | 14,245 | -542 | $2,720 | WORKDAY INC CL A |
9,879 |
-291 |
$2,694 | WDAY | 9,879 | -291 | $2,694 | COCA COLA CO COM |
43,910 |
-1,673 |
$2,686 | KO | 43,910 | -1,673 | $2,686 | WALMART INC COM |
43,728 |
+28,859 |
$2,631 | WMT | 43,728 | +28,859 | $2,631 | AVERY DENNISON CORP COM |
11,685 |
-286 |
$2,609 | AVY | 11,685 | -286 | $2,609 | QUALCOMM INC COM |
15,349 |
-584 |
$2,599 | QCOM | 15,349 | -584 | $2,599 | BOOZ ALLEN HAMILTON HLDG COR CL A |
17,310 |
+1,681 |
$2,569 | BAH | 17,310 | +1,681 | $2,569 | LULULEMON ATHLETICA INC COM |
6,496 |
-511 |
$2,538 | LULU | 6,496 | -511 | $2,538 | IDEXX LABS INC COM |
4,602 |
-117 |
$2,485 | IDXX | 4,602 | -117 | $2,485 | MSCI INC COM |
4,401 |
-125 |
$2,467 | MSCI | 4,401 | -125 | $2,467 | PAYCHEX INC COM |
20,200 |
+20,200 |
$2,461 | PAYX | 20,200 | +20,200 | $2,461 | TRADEWEB MKTS INC CL A |
23,476 |
-583 |
$2,445 | TW | 23,476 | -583 | $2,445 | IQVIA HLDGS INC COM |
9,639 |
-1,019 |
$2,438 | IQV | 9,639 | -1,019 | $2,438 | TEXAS INSTRS INC COM |
13,606 |
-535 |
$2,370 | TXN | 13,606 | -535 | $2,370 | SHERWIN WILLIAMS CO COM |
6,799 |
-259 |
$2,361 | SHW | 6,799 | -259 | $2,361 | KEYSIGHT TECHNOLOGIES INC COM |
15,090 |
-464 |
$2,360 | KEYS | 15,090 | -464 | $2,360 | AUTOMATIC DATA PROCESSING IN COM |
9,342 |
-356 |
$2,333 | ADP | 9,342 | -356 | $2,333 | TJX COS INC NEW COM |
22,839 |
-871 |
$2,316 | TJX | 22,839 | -871 | $2,316 | EDWARDS LIFESCIENCES CORP COM |
24,015 |
-645 |
$2,295 | EW | 24,015 | -645 | $2,295 | UNION PAC CORP COM |
9,113 |
-346 |
$2,241 | UNP | 9,113 | -346 | $2,241 | COSTAR GROUP INC COM |
23,184 |
-687 |
$2,240 | CSGP | 23,184 | -687 | $2,240 | INTEL CORP COM |
50,278 |
-1,982 |
$2,221 | INTC | 50,278 | -1,982 | $2,221 | LINDE PLC SHS |
4,784 |
-194 |
$2,221 | LIN | 4,784 | -194 | $2,221 | TREX CO INC COM |
22,153 |
-571 |
$2,210 | TREX | 22,153 | -571 | $2,210 | ARCH CAP GROUP LTD ORD |
23,816 |
-969 |
$2,202 | ACGL | 23,816 | -969 | $2,202 | WILLSCOT MOBIL MINI HLDNG CO COM CL A |
47,099 |
-1,324 |
$2,190 | WSC | 47,099 | -1,324 | $2,190 | CINTAS CORP COM |
3,171 |
-1,274 |
$2,179 | CTAS | 3,171 | -1,274 | $2,179 | ANSYS INC COM |
6,151 |
-1,042 |
$2,135 | ANSS | 6,151 | -1,042 | $2,135 | COMCAST CORP NEW CL A |
49,237 |
-1,940 |
$2,134 | CMCSA | 49,237 | -1,940 | $2,134 | LPL FINL HLDGS INC COM |
7,983 |
-191 |
$2,109 | LPLA | 7,983 | -191 | $2,109 | DANAHER CORPORATION COM |
8,441 |
-333 |
$2,108 | DHR | 8,441 | -333 | $2,108 | PACCAR INC COM |
16,681 |
-657 |
$2,067 | PCAR | 16,681 | -657 | $2,067 | CITIGROUP INC COM NEW |
32,259 |
-1,269 |
$2,040 | C | 32,259 | -1,269 | $2,040 | CISCO SYS INC COM |
40,453 |
-1,594 |
$2,019 | CSCO | 40,453 | -1,594 | $2,019 | UNITED PARCEL SERVICE INC CL B |
13,413 |
-530 |
$1,994 | UPS | 13,413 | -530 | $1,994 | GENERAL ELECTRIC CO COM NEW |
11,285 |
-497 |
$1,981 | GE | 11,285 | -497 | $1,981 | POOL CORP COM |
4,904 |
+454 |
$1,979 | POOL | 4,904 | +454 | $1,979 | TRANSDIGM GROUP INC COM |
1,585 |
-61 |
$1,952 | TDG | 1,585 | -61 | $1,952 | LOWES COS INC COM |
7,635 |
-301 |
$1,945 | LOW | 7,635 | -301 | $1,945 | MONDELEZ INTL INC CL A |
27,498 |
-1,083 |
$1,925 | MDLZ | 27,498 | -1,083 | $1,925 | HCA HEALTHCARE INC COM |
5,709 |
-226 |
$1,904 | HCA | 5,709 | -226 | $1,904 | PHILIP MORRIS INTL INC COM |
20,749 |
-817 |
$1,901 | PM | 20,749 | -817 | $1,901 | REGENERON PHARMACEUTICALS COM |
1,972 |
-79 |
$1,898 | REGN | 1,972 | -79 | $1,898 | RTX CORPORATION COM |
19,461 |
-766 |
$1,898 | RTX | 19,461 | -766 | $1,898 | AMGEN INC COM |
6,532 |
-263 |
$1,857 | AMGN | 6,532 | -263 | $1,857 | MARRIOTT INTL INC NEW CL A |
7,349 |
-291 |
$1,854 | MAR | 7,349 | -291 | $1,854 | CSX CORP COM |
49,680 |
-1,957 |
$1,842 | CSX | 49,680 | -1,957 | $1,842 | VERIZON COMMUNICATIONS INC COM |
43,548 |
-1,713 |
$1,827 | VZ | 43,548 | -1,713 | $1,827 | MEDTRONIC PLC SHS |
20,720 |
-815 |
$1,806 | MDT | 20,720 | -815 | $1,806 | CHUBB LIMITED COM |
6,790 |
-268 |
$1,759 | CB | 6,790 | -268 | $1,759 | BLACKROCK INC COM |
2,074 |
-82 |
$1,729 | BLK | 2,074 | -82 | $1,729 | MORGAN STANLEY COM NEW |
18,301 |
-720 |
$1,723 | MS | 18,301 | -720 | $1,723 | WELLTOWER INC COM |
18,390 |
-724 |
$1,718 | WELL | 18,390 | -724 | $1,718 | GOLDMAN SACHS GROUP INC COM |
4,018 |
-157 |
$1,678 | GS | 4,018 | -157 | $1,678 | ABBOTT LABS COM |
14,617 |
-577 |
$1,661 | ABT | 14,617 | -577 | $1,661 | TARGET CORP COM |
9,259 |
-364 |
$1,641 | TGT | 9,259 | -364 | $1,641 | PFIZER INC COM |
58,907 |
-2,318 |
$1,635 | PFE | 58,907 | -2,318 | $1,635 | DATADOG INC CL A COM |
12,766 |
-503 |
$1,578 | DDOG | 12,766 | -503 | $1,578 | CVS HEALTH CORP COM |
19,375 |
-763 |
$1,545 | CVS | 19,375 | -763 | $1,545 | THE CIGNA GROUP COM |
4,140 |
-182 |
$1,504 | CI | 4,140 | -182 | $1,504 | TRAVELERS COMPANIES INC COM |
6,517 |
-255 |
$1,500 | TRV | 6,517 | -255 | $1,500 | EQUINIX INC COM |
1,802 |
-79 |
$1,487 | EQIX | 1,802 | -79 | $1,487 | BOEING CO COM |
7,633 |
-337 |
$1,473 | BA | 7,633 | -337 | $1,473 | T MOBILE US INC COM |
9,014 |
-397 |
$1,471 | TMUS | 9,014 | -397 | $1,471 | SOUTHERN CO COM |
20,332 |
-895 |
$1,459 | SO | 20,332 | -895 | $1,459 | ZSCALER INC COM |
7,539 |
-332 |
$1,452 | ZS | 7,539 | -332 | $1,452 | APTIV PLC SHS |
18,018 |
-8,380 |
$1,435 | APTV | 18,018 | -8,380 | $1,435 | GILEAD SCIENCES INC COM |
19,544 |
-862 |
$1,432 | GILD | 19,544 | -862 | $1,432 | ECOLAB INC COM |
6,131 |
+1,899 |
$1,416 | ECL | 6,131 | +1,899 | $1,416 | NUCOR CORP COM |
7,073 |
-312 |
$1,400 | NUE | 7,073 | -312 | $1,400 | MICRON TECHNOLOGY INC COM |
11,805 |
-520 |
$1,392 | MU | 11,805 | -520 | $1,392 | LINCOLN ELEC HLDGS INC COM |
5,315 |
-235 |
$1,358 | LECO | 5,315 | -235 | $1,358 | BRISTOL MYERS SQUIBB CO COM |
24,971 |
-1,100 |
$1,354 | BMY | 24,971 | -1,100 | $1,354 | YETI HLDGS INC COM |
34,911 |
-717 |
$1,346 | YETI | 34,911 | -717 | $1,346 | CENCORA INC COM |
5,529 |
+5,529 |
$1,343 | COR | 5,529 | +5,529 | $1,343 | HONEYWELL INTL INC COM |
6,520 |
-287 |
$1,338 | HON | 6,520 | -287 | $1,338 | DEERE & CO COM |
3,232 |
-143 |
$1,328 | DE | 3,232 | -143 | $1,328 | ELEVANCE HEALTH INC COM |
2,472 |
-110 |
$1,282 | ELV | 2,472 | -110 | $1,282 | AMERICAN TOWER CORP NEW COM |
6,458 |
-286 |
$1,276 | AMT | 6,458 | -286 | $1,276 | COOPER COS INC COM |
12,464 |
+9,298 |
$1,265 | COO | 12,464 | +9,298 | $1,265 | ALLSTATE CORP COM |
7,175 |
-316 |
$1,241 | ALL | 7,175 | -316 | $1,241 | DISCOVER FINL SVCS COM |
9,442 |
-417 |
$1,238 | DFS | 9,442 | -417 | $1,238 | DOVER CORP COM |
6,817 |
-299 |
$1,208 | DOV | 6,817 | -299 | $1,208 | ENTEGRIS INC COM |
8,532 |
-378 |
$1,199 | ENTG | 8,532 | -378 | $1,199 | AMETEK INC COM |
6,521 |
-287 |
$1,193 | AME | 6,521 | -287 | $1,193 | DUPONT DE NEMOURS INC COM |
15,452 |
-679 |
$1,185 | DD | 15,452 | -679 | $1,185 | PUBLIC STORAGE COM |
4,061 |
-179 |
$1,178 | PSA | 4,061 | -179 | $1,178 | SCHWAB CHARLES CORP COM |
16,059 |
-706 |
$1,162 | SCHW | 16,059 | -706 | $1,162 | AON PLC SHS CL A |
3,448 |
-151 |
$1,151 | AON | 3,448 | -151 | $1,151 | WILLIAMS COS INC COM |
28,904 |
-1,272 |
$1,126 | WMB | 28,904 | -1,272 | $1,126 | PUBLIC SVC ENTERPRISE GRP IN COM |
16,593 |
-730 |
$1,108 | PEG | 16,593 | -730 | $1,108 | GENERAL MTRS CO COM |
24,314 |
-860 |
$1,103 | GM | 24,314 | -860 | $1,103 | GXO LOGISTICS INCORPORATED |
20,474 |
-929 |
$1,101 | GXO | 20,474 | -929 | $1,101 | GARMIN LTD SHS |
7,368 |
-261 |
$1,097 | GRMN | 7,368 | -261 | $1,097 | PNC FINL SVCS GROUP INC COM |
6,656 |
-293 |
$1,076 | PNC | 6,656 | -293 | $1,076 | SCHLUMBERGER LTD COM |
19,604 |
-864 |
$1,074 | SLB | 19,604 | -864 | $1,074 | DIGITAL RLTY TR INC COM |
7,430 |
-327 |
$1,070 | DLR | 7,430 | -327 | $1,070 | D R HORTON INC COM |
6,394 |
-226 |
$1,052 | DHI | 6,394 | -226 | $1,052 | AT&T INC COM |
59,519 |
-2,621 |
$1,048 | T | 59,519 | -2,621 | $1,048 | AGILENT TECHNOLOGIES INC COM |
7,006 |
-247 |
$1,019 | A | 7,006 | -247 | $1,019 | COLGATE PALMOLIVE CO COM |
11,317 |
-400 |
$1,019 | CL | 11,317 | -400 | $1,019 | CROWN HLDGS INC COM |
12,822 |
-563 |
$1,016 | CCK | 12,822 | -563 | $1,016 | DUKE ENERGY CORP NEW COM NEW |
10,413 |
-458 |
$1,007 | DUK | 10,413 | -458 | $1,007 | ALTRIA GROUP INC COM |
23,068 |
-1,015 |
$1,006 | MO | 23,068 | -1,015 | $1,006 | ILLINOIS TOOL WKS INC COM |
3,736 |
-164 |
$1,002 | ITW | 3,736 | -164 | $1,002 | OREILLY AUTOMOTIVE INC COM |
883 |
-31 |
$997 | ORLY | 883 | -31 | $997 | CONSTELLATION ENERGY CORP COM |
5,329 |
-298 |
$985 | CEG | 5,329 | -298 | $985 | HOWMET AEROSPACE INC COM |
14,107 |
-662 |
$965 | HWM | 14,107 | -662 | $965 | NORFOLK SOUTHN CORP COM |
3,786 |
-134 |
$965 | NSC | 3,786 | -134 | $965 | PRUDENTIAL FINL INC COM |
8,143 |
-289 |
$956 | PRU | 8,143 | -289 | $956 | DEVON ENERGY CORP NEW COM |
18,993 |
-672 |
$953 | DVN | 18,993 | -672 | $953 | GENERAL MLS INC COM |
13,612 |
-481 |
$952 | GIS | 13,612 | -481 | $952 | US BANCORP DEL COM NEW |
21,085 |
-747 |
$942 | USB | 21,085 | -747 | $942 | ELECTRONIC ARTS INC COM |
7,016 |
-310 |
$931 | EA | 7,016 | -310 | $931 | VALERO ENERGY CORP COM |
5,451 |
-258 |
$930 | VLO | 5,451 | -258 | $930 | STARBUCKS CORP COM |
10,097 |
-445 |
$923 | SBUX | 10,097 | -445 | $923 | FEDEX CORP COM |
3,154 |
-112 |
$914 | FDX | 3,154 | -112 | $914 | BIOGEN INC COM |
4,205 |
-186 |
$907 | BIIB | 4,205 | -186 | $907 | AMERICAN INTL GROUP INC COM NEW |
11,576 |
-545 |
$905 | AIG | 11,576 | -545 | $905 | SEMPRA COM |
12,535 |
-444 |
$900 | SRE | 12,535 | -444 | $900 | TKO GROUP HOLDINGS INC CL A |
10,306 |
-364 |
$891 | TKO | 10,306 | -364 | $891 | WEYERHAEUSER CO MTN BE COM NEW |
23,936 |
-846 |
$860 | WY | 23,936 | -846 | $860 | OCCIDENTAL PETE CORP COM |
13,153 |
-466 |
$855 | OXY | 13,153 | -466 | $855 | OMNICOM GROUP INC COM |
8,698 |
-408 |
$842 | OMC | 8,698 | -408 | $842 | LYONDELLBASELL INDUSTRIES N SHS A |
8,154 |
-289 |
$834 | LYB | 8,154 | -289 | $834 | FORTIVE CORP COM |
9,659 |
-341 |
$831 | FTV | 9,659 | -341 | $831 | AMERICAN ELEC PWR CO INC COM |
9,606 |
-340 |
$827 | AEP | 9,606 | -340 | $827 | CROWN CASTLE INC COM |
7,752 |
-275 |
$820 | CCI | 7,752 | -275 | $820 | MCCORMICK & CO INC COM NON VTG |
10,524 |
-264 |
$808 | MKC | 10,524 | -264 | $808 | SIMON PPTY GROUP INC NEW COM |
5,086 |
-344 |
$796 | SPG | 5,086 | -344 | $796 | GLOBE LIFE INC COM |
6,810 |
-240 |
$792 | GL | 6,810 | -240 | $792 | CMS ENERGY CORP COM |
13,049 |
-327 |
$787 | CMS | 13,049 | -327 | $787 | NASDAQ INC COM |
12,446 |
-455 |
$785 | NDAQ | 12,446 | -455 | $785 | CELANESE CORP DEL COM |
4,550 |
-254 |
$782 | CE | 4,550 | -254 | $782 | CHARTER COMMUNICATIONS INC N CL A |
2,676 |
-117 |
$778 | CHTR | 2,676 | -117 | $778 | VULCAN MATLS CO COM |
2,675 |
-150 |
$730 | VMC | 2,675 | -150 | $730 | CAPITAL ONE FINL CORP COM |
4,815 |
-270 |
$717 | COF | 4,815 | -270 | $717 | BECTON DICKINSON & CO COM |
2,858 |
-72 |
$707 | BDX | 2,858 | -72 | $707 | HERSHEY CO COM |
3,625 |
-91 |
$705 | HSY | 3,625 | -91 | $705 | TRUIST FINL CORP COM |
17,812 |
-995 |
$694 | TFC | 17,812 | -995 | $694 | BALL CORP COM |
10,060 |
-562 |
$678 | BALL | 10,060 | -562 | $678 | AIR PRODS & CHEMS INC COM |
2,782 |
-70 |
$674 | APD | 2,782 | -70 | $674 | DOMINION ENERGY INC COM |
13,578 |
-759 |
$668 | D | 13,578 | -759 | $668 | DUOLINGO INC CL A COM |
3,022 |
+3,022 |
$667 | DUOL | 3,022 | +3,022 | $667 | AMERICAN WTR WKS CO INC NEW COM |
5,435 |
-136 |
$664 | AWK | 5,435 | -136 | $664 | 3M CO COM |
6,077 |
-339 |
$645 | MMM | 6,077 | -339 | $645 | DARLING INGREDIENTS INC COM |
13,796 |
-774 |
$642 | DAR | 13,796 | -774 | $642 | STANLEY BLACK & DECKER INC COM |
6,463 |
-362 |
$633 | SWK | 6,463 | -362 | $633 | PAYPAL HLDGS INC COM |
9,388 |
-191 |
$629 | PYPL | 9,388 | -191 | $629 | SYSCO CORP COM |
7,627 |
-426 |
$619 | SYY | 7,627 | -426 | $619 | DOLLAR GEN CORP NEW COM |
3,858 |
-216 |
$602 | DG | 3,858 | -216 | $602 | EXELON CORP COM |
16,027 |
-894 |
$602 | EXC | 16,027 | -894 | $602 | ALEXANDRIA REAL ESTATE EQ IN COM |
4,638 |
-258 |
$598 | ARE | 4,638 | -258 | $598 | CHURCH & DWIGHT CO INC COM |
5,681 |
-321 |
$593 | CHD | 5,681 | -321 | $593 | FISERV INC COM |
3,550 |
+3,550 |
$567 | FI | 3,550 | +3,550 | $567 | INGERSOLL RAND INC COM |
5,777 |
-342 |
$549 | IR | 5,777 | -342 | $549 | TYSON FOODS INC CL A |
9,354 |
-522 |
$549 | TSN | 9,354 | -522 | $549 | DOW INC COM |
9,177 |
-513 |
$532 | DOW | 9,177 | -513 | $532 | NEWMONT CORP COM |
14,180 |
-793 |
$508 | NEM | 14,180 | -793 | $508 | PROGYNY INC COM |
13,278 |
-742 |
$507 | PGNY | 13,278 | -742 | $507 | EQUITY RESIDENTIAL SH BEN INT |
7,744 |
-433 |
$489 | EQR | 7,744 | -433 | $489 | ENPHASE ENERGY INC COM |
4,013 |
-225 |
$485 | ENPH | 4,013 | -225 | $485 | KINDER MORGAN INC DEL COM |
25,573 |
-1,426 |
$469 | KMI | 25,573 | -1,426 | $469 | TERADYNE INC COM |
3,951 |
-221 |
$446 | TER | 3,951 | -221 | $446 | MATCH GROUP INC NEW COM |
11,801 |
-704 |
$428 | MTCH | 11,801 | -704 | $428 | ALBEMARLE CORP COM |
3,164 |
-177 |
$417 | ALB | 3,164 | -177 | $417 | HALLIBURTON CO COM |
10,508 |
-584 |
$414 | HAL | 10,508 | -584 | $414 | XCEL ENERGY INC COM |
7,304 |
-407 |
$393 | XEL | 7,304 | -407 | $393 | WESTERN DIGITAL CORP. COM |
5,612 |
-378 |
$383 | WDC | 5,612 | -378 | $383 | GE HEALTHCARE TECHNOLOGIES |
3,817 |
-212 |
$347 | GEHC | 3,817 | -212 | $347 | CF INDS HLDGS INC COM |
3,712 |
-205 |
$309 | CF | 3,712 | -205 | $309 | KROGER CO COM |
5,109 |
-182 |
$292 | KR | 5,109 | -182 | $292 | HEALTHPEAK PROPERTIES INC COM |
15,476 |
-540 |
$290 | PEAK | 15,476 | -540 | $290 | INTERNATIONAL PAPER CO COM |
6,489 |
-232 |
$253 | IP | 6,489 | -232 | $253 | SOUTHWEST AIRLS CO COM |
8,638 |
-581 |
$252 | LUV | 8,638 | -581 | $252 | METLIFE INC COM |
3,256 |
-117 |
$241 | MET | 3,256 | -117 | $241 | INTERNATIONAL FLAVORS&FRAGRA COM |
2,789 |
-99 |
$240 | IFF | 2,789 | -99 | $240 | CENCORA INC COM |
|
|
$0 (exited) | ABC | 0 | -5,772 | $0 | CORTEVA INC COM |
|
|
$0 (exited) | CTVA | 0 | -8,230 | $0 | VIATRIS INC COM |
0 |
-28,335 |
$0 (exited) | VTRS | 0 | -28,335 | $0 |
See Summary: Sumitomo Life Insurance Co. Top Holdings
See Details: Top 10 Stocks Held By Sumitomo Life Insurance Co.
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