Fund · CIK 1398318
Handelsbanken Fonder AB
Jun 30, 2026Filed Jul 10, 2026 · SEC filing ↗
Reported value$35.1B +17%
Positions1,485
Opened · sold out79 · 85
Holdings
Share positions at Jun 30, 2026| Stock | % of fund | Value | Shares | Since Q1 2026 |
|---|---|---|---|---|
| NVDANvidia CorpCOM | 6.5% | $2.3B | 11,369,496 | Held |
| AAPLApple IncCOM | 5.7% | $2.0B | 6,910,385 | Cut −3% |
| MSFTMicrosoft CorpCOM | 4.1% | $1.4B | 3,811,080 | Added +3% |
| AMZNAmazon.Com IncCOM | 3.5% | $1.2B | 5,180,597 | Added +1% |
| GOOGLAlphabet Inc-Cl ACAP STK CL A | 3.0% | $1.1B | 2,949,453 | Added +3% |
| GOOGAlphabet Inc-Cl CCAP STK CL C | 2.9% | $1.0B | 2,854,989 | Held |
| AVGOBroadcom IncCOM | 2.7% | $939M | 2,485,199 | Cut −5% |
| LLYEli Lilly & CoStock | 2.3% | $817M | 680,927 | Cut −4% |
| MUMicron Technology IncCOM | 2.1% | $728M | 630,685 | Added +6% |
| METAMeta Platforms Inc-Class ACL A | 1.8% | $631M | 1,120,604 | Cut −1% |
| AMDAdvanced Micro DevicesStock | 1.7% | $581M | 1,000,860 | Added +20% |
| JPMJpmorgan Chase & CoCOM | 1.4% | $508M | 1,551,236 | Cut −1% |
| JNJJohnson & JohnsonStock | 1.4% | $498M | 1,959,262 | Added +1% |
| ABBVAbbvie IncStock | 1.0% | $343M | 1,362,464 | Cut −1% |
| AMATApplied Materials IncStock | 1.0% | $335M | 462,685 | Added +30% |
| INTCIntel CorpStock | 0.9% | $316M | 2,263,752 | Added +22% |
| CSCOCisco Systems IncStock | 0.8% | $288M | 2,453,299 | Cut −4% |
| UNHUnitedhealth Group IncStock | 0.8% | $286M | 687,561 | Added +97% |
| TMOThermo Fisher Scientific IncStock | 0.8% | $270M | 538,524 | Cut −15% |
| MAMastercard Inc - ACL A | 0.7% | $262M | 510,758 | Cut −2% |
| BRK-BBerkshire Hathaway Inc-Cl BCL B NEW | 0.7% | $262M | 522,748 | Held |
| KLACKla CorpCOM NEW | 0.7% | $259M | 858,984 | Added +978% |
| BACBank of America CorpStock | 0.7% | $258M | 4,529,611 | Cut −2% |
| MRKMerck & Co. Inc.Stock | 0.7% | $252M | 1,959,794 | Added +5% |
| BEBloom Energy Corp- AStock | 0.7% | $246M | 813,452 | Cut −28% |
| LRCXLam Research CorpCOM NEW | 0.7% | $245M | 565,142 | Cut −6% |
| NXTNextpower IncStock | 0.7% | $240M | 2,013,766 | Held |
| VVisa Inc-Class A SharesCOM CL A | 0.6% | $223M | 649,345 | Held |
| CATCaterpillar IncCOM | 0.6% | $218M | 205,152 | Added +60% |
| NFLXNetflix IncCOM | 0.6% | $201M | 2,820,999 | Cut −16% |
| ANETArista Networks IncCOM SHS | 0.6% | $197M | 1,157,934 | Cut −9% |
| WMTWalmart IncCOM | 0.5% | $192M | 1,696,392 | Cut −4% |
| TSMTaiwan Semiconductor-Sp ADRADR | 0.5% | $186M | 389,578 | Cut −28% |
| HDHome Depot IncCOM | 0.5% | $184M | 522,512 | Cut −5% |
| PANWPalo Alto Networks IncCOM | 0.5% | $183M | 537,550 | Cut −26% |
| IBMIntl Business Machines CorpCOM | 0.5% | $179M | 638,216 | Added +87% |
| FSLRFirst Solar IncStock | 0.5% | $161M | 683,112 | Added +15% |
| WDCWestern Digital CorpStock | 0.4% | $147M | 230,578 | Added +71% |
| EWEdwards Lifesciences CorpStock | 0.4% | $139M | 1,541,212 | Added +22% |
| PGProcter & Gamble Co/TheStock | 0.4% | $136M | 926,459 | Cut −1% |
| KOCoca-Cola Co/TheCOM | 0.4% | $131M | 1,614,283 | Added +1% |
| SNDKSandisk CorpCOM | 0.4% | $131M | 57,564 | Added +35% |
| ISRGIntuitive Surgical IncStock | 0.4% | $127M | 319,944 | Cut −9% |
| PWRQuanta Services IncStock | 0.4% | $126M | 175,202 | Cut −18% |
| AMGNAmgen IncStock | 0.4% | $126M | 346,596 | Added +16% |
| MRVLMarvell Technology IncStock | 0.4% | $125M | 421,088 | Cut −26% |
| TXNTexas Instruments IncStock | 0.4% | $125M | 419,960 | Added +14% |
| GILDGilead Sciences IncStock | 0.4% | $123M | 975,089 | Cut −7% |
| MCKMckesson CorpStock | 0.3% | $121M | 160,354 | Cut −13% |
| CRWDCrowdstrike Holdings Inc - ACL A | 0.3% | $118M | 154,016 | Cut −2% |
| GSGoldman Sachs Group IncStock | 0.3% | $117M | 115,455 | Held |
| BKNGBooking Holdings IncStock | 0.3% | $116M | 649,602 | Added +6% |
| CVSCvs Health CorpStock | 0.3% | $113M | 1,089,694 | Added +84% |
| LINLinde PLCStock | 0.3% | $111M | 214,614 | Cut −4% |
| MSMorgan StanleyStock | 0.3% | $110M | 526,074 | Added +15% |
| ORCLOracle CorpStock | 0.3% | $109M | 744,934 | Held |
| VRTXVertex Pharmaceuticals IncStock | 0.3% | $108M | 218,292 | Cut −1% |
| STXSeagate Technology HoldingsStock | 0.3% | $106M | 109,611 | Cut −33% |
| BABAAlibaba Group Holding-Sp ADRADR | 0.3% | $105M | 1,091,253 | Held |
| ENPHEnphase Energy IncStock | 0.3% | $104M | 2,111,158 | Added +155% |
| QCOMQualcomm IncStock | 0.3% | $99.8M | 539,896 | Cut −22% |
| GLWCorning IncCOM | 0.3% | $98.5M | 385,665 | Cut −8% |
| ADIAnalog Devices IncStock | 0.3% | $95.7M | 241,059 | Cut −5% |
| CCitigroup IncStock | 0.3% | $95.5M | 682,416 | Cut −3% |
| WFCWells Fargo & CoCOM | 0.3% | $95.2M | 1,152,317 | Cut −5% |
| VRTVertiv Holdings Co-AStock | 0.3% | $94.0M | 280,702 | Cut −12% |
| TJXTjx Companies IncStock | 0.3% | $93.3M | 615,842 | Cut −2% |
| SYKStryker CorpStock | 0.3% | $90.4M | 287,125 | Cut −1% |
| NOWServicenow IncStock | 0.2% | $86.5M | 871,356 | Cut −5% |
| BAPCredicorp LtdCOM | 0.2% | $84.4M | 216,757 | Cut −27% |
| AXPAmerican Express CoStock | 0.2% | $82.8M | 244,766 | Added +19% |
| ALBAlbemarle CorpCOM | 0.2% | $81.4M | 602,617 | Added +14% |
| WELLWelltower IncREIT | 0.2% | $80.1M | 353,123 | Added +11% |
| CSLCarlisle Cos IncStock | 0.2% | $77.3M | 213,065 | Added +31% |
| PEPPepsico IncStock | 0.2% | $76.1M | 562,298 | Added +6% |
| MKSIMks IncStock | 0.2% | $73.2M | 164,490 | Cut −15% |
| SPOTSpotify Technology SASHS | 0.2% | $72.7M | 158,445 | Cut −2% |
| DEDeere & CoCOM | 0.2% | $72.7M | 114,640 | Cut −5% |
| UNPUnion Pacific CorpStock | 0.2% | $71.9M | 264,491 | Cut −4% |
| SEDGSolaredge Technologies IncCOM | 0.2% | $71.9M | 1,230,401 | Added +17% |
| HCAHca Healthcare IncStock | 0.2% | $71.2M | 182,691 | Cut −4% |
| UBERUber Technologies IncStock | 0.2% | $70.8M | 980,731 | Cut −16% |
| PLDPrologis IncREIT | 0.2% | $69.3M | 511,537 | Added +7% |
| MCDMcdonald'S CorpStock | 0.2% | $68.8M | 254,579 | Cut −4% |
| VZVerizon Communications IncStock | 0.2% | $68.6M | 1,620,964 | Added +6% |
| RCLRoyal Caribbean Cruises LtdStock | 0.2% | $68.3M | 215,189 | Cut −23% |
| COHRCoherent CorpStock | 0.2% | $68.1M | 172,570 | Added +155% |
| BSXBoston Scientific CorpStock | 0.2% | $67.6M | 1,584,433 | Cut −39% |
| SPGIS&P Global IncStock | 0.2% | $67.6M | 166,035 | Cut −12% |
| SCIService Corp InternationalStock | 0.2% | $67.0M | 881,985 | Added +4% |
| ABTAbbott LaboratoriesStock | 0.2% | $66.9M | 736,804 | Cut −38% |
| CDNSCadence Design Sys IncStock | 0.2% | $66.3M | 176,771 | Added +31% |
| CORCencora IncStock | 0.2% | $62.6M | 221,107 | Cut −32% |
| TERTeradyne IncStock | 0.2% | $61.9M | 127,990 | Added +3% |
| SCHWSchwab (Charles) CorpStock | 0.2% | $60.2M | 652,139 | Held |
| CNMCore & Main Inc-Class AStock | 0.2% | $59.5M | 1,233,692 | Cut −5% |
| PFEPfizer IncStock | 0.2% | $59.3M | 2,462,431 | Added +10% |
| CRMSalesforce IncStock | 0.2% | $59.1M | 377,259 | Cut −9% |
| DISWalt Disney Co/TheStock | 0.2% | $59.0M | 612,587 | Cut −7% |
| NDAQNasdaq IncStock | 0.2% | $58.2M | 738,126 | Added +3% |
| TAT&T IncCOM | 0.2% | $57.0M | 2,754,788 | Cut −2% |
| TTTrane Technologies PLCStock | 0.2% | $56.6M | 115,268 | Cut −12% |
| NTRANatera IncStock | 0.2% | $56.4M | 207,800 | Added +29% |
| NTESNetease Inc-AdrADR | 0.2% | $55.6M | 434,115 | Added +3% |
| DHRDanaher CorpStock | 0.2% | $55.1M | 289,223 | Added +11% |
| BLKBlackrock IncStock | 0.2% | $54.5M | 56,663 | Cut −2% |
| DARDarling Ingredients IncStock | 0.2% | $54.4M | 995,368 | Cut −1% |
| WMWaste Management IncStock | 0.2% | $54.0M | 242,318 | Added +10% |
| BMYBristol-Myers Squibb CoStock | 0.1% | $52.4M | 910,107 | Cut −33% |
| PLUGPlug Power IncCOM NEW | 0.1% | $51.5M | 19,014,270 | Added +447% |
| GEVGe Vernova IncStock | 0.1% | $50.8M | 43,272 | Added +370% |
| HALOHalozyme Therapeutics IncStock | 0.1% | $49.5M | 631,899 | Added +28% |
| ARGXArgenx SE - ADRADR | 0.1% | $48.9M | 52,653 | Cut −4% |
| EQIXEquinix IncREIT | 0.1% | $48.6M | 46,622 | Added +5% |
| APPApplovin Corp-Class AStock | 0.1% | $48.3M | 93,780 | Cut −14% |
| ROKRockwell Automation IncStock | 0.1% | $47.2M | 95,345 | Cut −40% |
| JKHYJack Henry & Associates IncCOM | 0.1% | $46.9M | 340,592 | Cut −47% |
| MDTMedtronic PLCStock | 0.1% | $46.6M | 596,254 | Cut −1% |
| GRMNGarmin LtdStock | 0.1% | $46.6M | 196,267 | Added +2% |
| BNYBank of New York Mellon CorpStock | 0.1% | $46.5M | 321,688 | Held |
| ROSTRoss Stores IncStock | 0.1% | $46.3M | 217,622 | Added +29% |
| DELLDell Technologies -CStock | 0.1% | $45.9M | 106,467 | Cut −20% |
| NVTNvent Electric PLCStock | 0.1% | $45.9M | 270,708 | Cut −29% |
| LITELumentum Holdings IncStock | 0.1% | $45.5M | 53,040 | Added +85% |
| GHGuardant Health IncStock | 0.1% | $45.2M | 301,041 | Added +160% |
| CBChubb LtdStock | 0.1% | $45.1M | 132,315 | Added +13% |
| MPWRMonolithic Power Systems IncStock | 0.1% | $44.8M | 32,416 | Added +3% |
| LOWLowe'S Cos IncStock | 0.1% | $44.8M | 203,064 | Cut −1% |
| DDOGDatadog Inc - Class AStock | 0.1% | $44.4M | 170,519 | Added +82% |
| MWHSolv Energy Inc-Cl AClass A Common Stock | 0.1% | $44.2M | 1,299,329 | Added +18% |
| CSXCsx CorpStock | 0.1% | $44.2M | 929,336 | Cut −1% |
| PGRProgressive CorpStock | 0.1% | $43.7M | 199,953 | Cut −3% |
| MDBMongodb IncStock | 0.1% | $43.1M | 128,301 | Held |
| AITApplied Industrial Tech IncStock | 0.1% | $43.0M | 127,233 | Cut −18% |
| NETCloudflare Inc - Class AStock | 0.1% | $42.9M | 174,722 | Cut −1% |
| EXLSExlservice Holdings IncStock | 0.1% | $42.5M | 1,644,092 | Cut −39% |
| FIXComfort Systems USA IncStock | 0.1% | $42.4M | 21,390 | Added +7% |
| ECLEcolab IncStock | 0.1% | $42.4M | 152,078 | Cut −20% |
| NXPINxp Semiconductors NVStock | 0.1% | $42.3M | 150,517 | Cut −33% |
| COFCapital One Financial CorpStock | 0.1% | $42.3M | 210,691 | Held |
| XYLXylem IncStock | 0.1% | $41.7M | 352,869 | Cut −37% |
| MELIMercadolibre IncCOM | 0.1% | $40.7M | 23,973 | Added +10% |
| INTUIntuit IncStock | 0.1% | $40.1M | 153,518 | Cut −43% |
| RVMDRevolution Medicines IncStock | 0.1% | $39.8M | 212,275 | Added +244% |
| SPGSimon Property Group IncREIT | 0.1% | $39.7M | 177,714 | Added +14% |
| NEMNewmont CorpCOM | 0.1% | $39.7M | 425,507 | Cut −22% |
| AXONAxon Enterprise IncStock | 0.1% | $39.1M | 69,798 | Added +7% |
| TELTe Connectivity PLCStock | 0.1% | $39.0M | 193,421 | New |
| NSCNorfolk Southern CorpStock | 0.1% | $38.8M | 123,304 | Added +2% |
| DASHDoordash Inc - AStock | 0.1% | $38.8M | 210,142 | Added +35% |
Sold out
Held at Mar 31, 2026, gone at Jun 30, 2026| Stock | % of fund in Q1 2026 | Value in Q1 2026 |
|---|---|---|
| CCEPCoca-Cola Europacific PartneStock | 0.1% | $30.1M |
| Carnival CorpStockMerged away or delisted | 0.0% | $14.1M |
| CLBTCellebrite Di LtdStock | 0.0% | $13.4M |
| GWRSGlobal Water Resources IncCOMMON STOCK | 0.0% | $9.7M |
| BBDBanco Bradesco-AdrSP ADR PFD NEW | 0.0% | $7.4M |
| Hologic IncStockMerged away or delisted | 0.0% | $5.1M |
| Ascendis Pharma A/SSPONSORED ADRMerged away or delisted | 0.0% | $3.5M |
| VIVTelefonica Brasil-AdrSPONSORED ADS | 0.0% | $3.3M |
| Air Lease CorpCL AMerged away or delisted | 0.0% | $2.7M |
| FLSFlowserve CorpCOM | 0.0% | $2.7M |
| Masimo CorpStockMerged away or delisted | 0.0% | $2.6M |
| SUZSuzano SA - Spon ADRADR | 0.0% | $2.4M |
| IVZInvesco LtdStock | 0.0% | $2.2M |
| Clearwater Analytics Hds-AStockMerged away or delisted | 0.0% | $2.0M |
| VSNTVersant Media Group IncStock | 0.0% | $1.9M |
| Sealed Air Corp NewCOMMerged away or delisted | 0.0% | $1.7M |
| Tri Pointe Homes IncCOMMerged away or delisted | 0.0% | $1.7M |
| INTRInter & Co Inc - Cl AStock | 0.0% | $1.7M |
| AAONAaon IncCOM PAR $0.004 | 0.0% | $1.6M |
| IBNIcici Bank Ltd-Spon ADRADR | 0.0% | $1.6M |
| Amicus Therapeutics IncCOMMON STOCKMerged away or delisted | 0.0% | $1.6M |
| Veris Residential IncCOMMerged away or delisted | 0.0% | $1.5M |
| Arcellx IncStockMerged away or delisted | 0.0% | $1.5M |
| Apellis Pharmaceuticals IncCOMMerged away or delisted | 0.0% | $1.4M |
| TRNTrinity Industries IncStock | 0.0% | $901K |
| MBCMasterbrand IncCOMMON STOCK | 0.0% | $743K |
| PAGSPagseguro Digital Ltd-Cl ACOM CL A | 0.0% | $710K |
| Vici properties incCOMMerged away or delisted | 0.0% | $626K |
| BCCBoise Cascade CoCOM | 0.0% | $607K |
| CNMDConmed CorpStock | 0.0% | $524K |
| Soleno Therapeutics IncCOMMerged away or delisted | 0.0% | $516K |
| Onestream IncCL AMerged away or delisted | 0.0% | $511K |
| JBGSJbg Smith PropertiesREIT | 0.0% | $466K |
| PPCPilgrim'S Pride CorpStock | 0.0% | $446K |
| Mister Car Wash IncCOMMerged away or delisted | 0.0% | $445K |
| WHRWhirlpool CorpStock | 0.0% | $437K |
| NTLAIntellia Therapeutics IncCOM | 0.0% | $433K |
| AATAmerican Assets Trust IncREIT | 0.0% | $423K |
| QDELQuidelortho CorpStock | 0.0% | $401K |
| MLKNMillerknoll IncCOM | 0.0% | $396K |
| ARHSArhaus IncCOMMON STOCK | 0.0% | $378K |
| CWHCamping World Holdings Inc-AStock | 0.0% | $362K |
| WSWorthington Steel IncCOM SHS | 0.0% | $356K |
| ENREnergizer Holdings IncStock | 0.0% | $350K |
| LNNLindsay CorpCOMMON STOCK | 0.0% | $342K |
| ESRTEmpire State Realty Trust-ACL A | 0.0% | $315K |
| PRGSProgress Software CorpStock | 0.0% | $295K |
| AMSCAmerican Superconductor CorpSHS NEW | 0.0% | $291K |
| FIVNFive9 IncCOM | 0.0% | $285K |
| CCOICogent Communications HoldinCOMMON STOCK | 0.0% | $264K |
This filing reported values in thousands of dollars; they are shown here in dollars.
Showing the 150 largest of 1,485 positions. The full list is in the SEC filing.