Heavy Numbers
Menu
← Funds
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 fundValueSharesSince Q1 2026
NVDANvidia CorpCOM6.5%$2.3B11,369,496Held
AAPLApple IncCOM5.7%$2.0B6,910,385Cut −3%
MSFTMicrosoft CorpCOM4.1%$1.4B3,811,080Added +3%
AMZNAmazon.Com IncCOM3.5%$1.2B5,180,597Added +1%
GOOGLAlphabet Inc-Cl ACAP STK CL A3.0%$1.1B2,949,453Added +3%
GOOGAlphabet Inc-Cl CCAP STK CL C2.9%$1.0B2,854,989Held
AVGOBroadcom IncCOM2.7%$939M2,485,199Cut −5%
LLYEli Lilly & CoStock2.3%$817M680,927Cut −4%
MUMicron Technology IncCOM2.1%$728M630,685Added +6%
METAMeta Platforms Inc-Class ACL A1.8%$631M1,120,604Cut −1%
AMDAdvanced Micro DevicesStock1.7%$581M1,000,860Added +20%
JPMJpmorgan Chase & CoCOM1.4%$508M1,551,236Cut −1%
JNJJohnson & JohnsonStock1.4%$498M1,959,262Added +1%
ABBVAbbvie IncStock1.0%$343M1,362,464Cut −1%
AMATApplied Materials IncStock1.0%$335M462,685Added +30%
INTCIntel CorpStock0.9%$316M2,263,752Added +22%
CSCOCisco Systems IncStock0.8%$288M2,453,299Cut −4%
UNHUnitedhealth Group IncStock0.8%$286M687,561Added +97%
TMOThermo Fisher Scientific IncStock0.8%$270M538,524Cut −15%
MAMastercard Inc - ACL A0.7%$262M510,758Cut −2%
BRK-BBerkshire Hathaway Inc-Cl BCL B NEW0.7%$262M522,748Held
KLACKla CorpCOM NEW0.7%$259M858,984Added +978%
BACBank of America CorpStock0.7%$258M4,529,611Cut −2%
MRKMerck & Co. Inc.Stock0.7%$252M1,959,794Added +5%
BEBloom Energy Corp- AStock0.7%$246M813,452Cut −28%
LRCXLam Research CorpCOM NEW0.7%$245M565,142Cut −6%
NXTNextpower IncStock0.7%$240M2,013,766Held
VVisa Inc-Class A SharesCOM CL A0.6%$223M649,345Held
CATCaterpillar IncCOM0.6%$218M205,152Added +60%
NFLXNetflix IncCOM0.6%$201M2,820,999Cut −16%
ANETArista Networks IncCOM SHS0.6%$197M1,157,934Cut −9%
WMTWalmart IncCOM0.5%$192M1,696,392Cut −4%
TSMTaiwan Semiconductor-Sp ADRADR0.5%$186M389,578Cut −28%
HDHome Depot IncCOM0.5%$184M522,512Cut −5%
PANWPalo Alto Networks IncCOM0.5%$183M537,550Cut −26%
IBMIntl Business Machines CorpCOM0.5%$179M638,216Added +87%
FSLRFirst Solar IncStock0.5%$161M683,112Added +15%
WDCWestern Digital CorpStock0.4%$147M230,578Added +71%
EWEdwards Lifesciences CorpStock0.4%$139M1,541,212Added +22%
PGProcter & Gamble Co/TheStock0.4%$136M926,459Cut −1%
KOCoca-Cola Co/TheCOM0.4%$131M1,614,283Added +1%
SNDKSandisk CorpCOM0.4%$131M57,564Added +35%
ISRGIntuitive Surgical IncStock0.4%$127M319,944Cut −9%
PWRQuanta Services IncStock0.4%$126M175,202Cut −18%
AMGNAmgen IncStock0.4%$126M346,596Added +16%
MRVLMarvell Technology IncStock0.4%$125M421,088Cut −26%
TXNTexas Instruments IncStock0.4%$125M419,960Added +14%
GILDGilead Sciences IncStock0.4%$123M975,089Cut −7%
MCKMckesson CorpStock0.3%$121M160,354Cut −13%
CRWDCrowdstrike Holdings Inc - ACL A0.3%$118M154,016Cut −2%
GSGoldman Sachs Group IncStock0.3%$117M115,455Held
BKNGBooking Holdings IncStock0.3%$116M649,602Added +6%
CVSCvs Health CorpStock0.3%$113M1,089,694Added +84%
LINLinde PLCStock0.3%$111M214,614Cut −4%
MSMorgan StanleyStock0.3%$110M526,074Added +15%
ORCLOracle CorpStock0.3%$109M744,934Held
VRTXVertex Pharmaceuticals IncStock0.3%$108M218,292Cut −1%
STXSeagate Technology HoldingsStock0.3%$106M109,611Cut −33%
BABAAlibaba Group Holding-Sp ADRADR0.3%$105M1,091,253Held
ENPHEnphase Energy IncStock0.3%$104M2,111,158Added +155%
QCOMQualcomm IncStock0.3%$99.8M539,896Cut −22%
GLWCorning IncCOM0.3%$98.5M385,665Cut −8%
ADIAnalog Devices IncStock0.3%$95.7M241,059Cut −5%
CCitigroup IncStock0.3%$95.5M682,416Cut −3%
WFCWells Fargo & CoCOM0.3%$95.2M1,152,317Cut −5%
VRTVertiv Holdings Co-AStock0.3%$94.0M280,702Cut −12%
TJXTjx Companies IncStock0.3%$93.3M615,842Cut −2%
SYKStryker CorpStock0.3%$90.4M287,125Cut −1%
NOWServicenow IncStock0.2%$86.5M871,356Cut −5%
BAPCredicorp LtdCOM0.2%$84.4M216,757Cut −27%
AXPAmerican Express CoStock0.2%$82.8M244,766Added +19%
ALBAlbemarle CorpCOM0.2%$81.4M602,617Added +14%
WELLWelltower IncREIT0.2%$80.1M353,123Added +11%
CSLCarlisle Cos IncStock0.2%$77.3M213,065Added +31%
PEPPepsico IncStock0.2%$76.1M562,298Added +6%
MKSIMks IncStock0.2%$73.2M164,490Cut −15%
SPOTSpotify Technology SASHS0.2%$72.7M158,445Cut −2%
DEDeere & CoCOM0.2%$72.7M114,640Cut −5%
UNPUnion Pacific CorpStock0.2%$71.9M264,491Cut −4%
SEDGSolaredge Technologies IncCOM0.2%$71.9M1,230,401Added +17%
HCAHca Healthcare IncStock0.2%$71.2M182,691Cut −4%
UBERUber Technologies IncStock0.2%$70.8M980,731Cut −16%
PLDPrologis IncREIT0.2%$69.3M511,537Added +7%
MCDMcdonald'S CorpStock0.2%$68.8M254,579Cut −4%
VZVerizon Communications IncStock0.2%$68.6M1,620,964Added +6%
RCLRoyal Caribbean Cruises LtdStock0.2%$68.3M215,189Cut −23%
COHRCoherent CorpStock0.2%$68.1M172,570Added +155%
BSXBoston Scientific CorpStock0.2%$67.6M1,584,433Cut −39%
SPGIS&P Global IncStock0.2%$67.6M166,035Cut −12%
SCIService Corp InternationalStock0.2%$67.0M881,985Added +4%
ABTAbbott LaboratoriesStock0.2%$66.9M736,804Cut −38%
CDNSCadence Design Sys IncStock0.2%$66.3M176,771Added +31%
CORCencora IncStock0.2%$62.6M221,107Cut −32%
TERTeradyne IncStock0.2%$61.9M127,990Added +3%
SCHWSchwab (Charles) CorpStock0.2%$60.2M652,139Held
CNMCore & Main Inc-Class AStock0.2%$59.5M1,233,692Cut −5%
PFEPfizer IncStock0.2%$59.3M2,462,431Added +10%
CRMSalesforce IncStock0.2%$59.1M377,259Cut −9%
DISWalt Disney Co/TheStock0.2%$59.0M612,587Cut −7%
NDAQNasdaq IncStock0.2%$58.2M738,126Added +3%
TAT&T IncCOM0.2%$57.0M2,754,788Cut −2%
TTTrane Technologies PLCStock0.2%$56.6M115,268Cut −12%
NTRANatera IncStock0.2%$56.4M207,800Added +29%
NTESNetease Inc-AdrADR0.2%$55.6M434,115Added +3%
DHRDanaher CorpStock0.2%$55.1M289,223Added +11%
BLKBlackrock IncStock0.2%$54.5M56,663Cut −2%
DARDarling Ingredients IncStock0.2%$54.4M995,368Cut −1%
WMWaste Management IncStock0.2%$54.0M242,318Added +10%
BMYBristol-Myers Squibb CoStock0.1%$52.4M910,107Cut −33%
PLUGPlug Power IncCOM NEW0.1%$51.5M19,014,270Added +447%
GEVGe Vernova IncStock0.1%$50.8M43,272Added +370%
HALOHalozyme Therapeutics IncStock0.1%$49.5M631,899Added +28%
ARGXArgenx SE - ADRADR0.1%$48.9M52,653Cut −4%
EQIXEquinix IncREIT0.1%$48.6M46,622Added +5%
APPApplovin Corp-Class AStock0.1%$48.3M93,780Cut −14%
ROKRockwell Automation IncStock0.1%$47.2M95,345Cut −40%
JKHYJack Henry & Associates IncCOM0.1%$46.9M340,592Cut −47%
MDTMedtronic PLCStock0.1%$46.6M596,254Cut −1%
GRMNGarmin LtdStock0.1%$46.6M196,267Added +2%
BNYBank of New York Mellon CorpStock0.1%$46.5M321,688Held
ROSTRoss Stores IncStock0.1%$46.3M217,622Added +29%
DELLDell Technologies -CStock0.1%$45.9M106,467Cut −20%
NVTNvent Electric PLCStock0.1%$45.9M270,708Cut −29%
LITELumentum Holdings IncStock0.1%$45.5M53,040Added +85%
GHGuardant Health IncStock0.1%$45.2M301,041Added +160%
CBChubb LtdStock0.1%$45.1M132,315Added +13%
MPWRMonolithic Power Systems IncStock0.1%$44.8M32,416Added +3%
LOWLowe'S Cos IncStock0.1%$44.8M203,064Cut −1%
DDOGDatadog Inc - Class AStock0.1%$44.4M170,519Added +82%
MWHSolv Energy Inc-Cl AClass A Common Stock0.1%$44.2M1,299,329Added +18%
CSXCsx CorpStock0.1%$44.2M929,336Cut −1%
PGRProgressive CorpStock0.1%$43.7M199,953Cut −3%
MDBMongodb IncStock0.1%$43.1M128,301Held
AITApplied Industrial Tech IncStock0.1%$43.0M127,233Cut −18%
NETCloudflare Inc - Class AStock0.1%$42.9M174,722Cut −1%
EXLSExlservice Holdings IncStock0.1%$42.5M1,644,092Cut −39%
FIXComfort Systems USA IncStock0.1%$42.4M21,390Added +7%
ECLEcolab IncStock0.1%$42.4M152,078Cut −20%
NXPINxp Semiconductors NVStock0.1%$42.3M150,517Cut −33%
COFCapital One Financial CorpStock0.1%$42.3M210,691Held
XYLXylem IncStock0.1%$41.7M352,869Cut −37%
MELIMercadolibre IncCOM0.1%$40.7M23,973Added +10%
INTUIntuit IncStock0.1%$40.1M153,518Cut −43%
RVMDRevolution Medicines IncStock0.1%$39.8M212,275Added +244%
SPGSimon Property Group IncREIT0.1%$39.7M177,714Added +14%
NEMNewmont CorpCOM0.1%$39.7M425,507Cut −22%
AXONAxon Enterprise IncStock0.1%$39.1M69,798Added +7%
TELTe Connectivity PLCStock0.1%$39.0M193,421New
NSCNorfolk Southern CorpStock0.1%$38.8M123,304Added +2%
DASHDoordash Inc - AStock0.1%$38.8M210,142Added +35%

Sold out

Held at Mar 31, 2026, gone at Jun 30, 2026
Stock% of fund in Q1 2026Value in Q1 2026
CCEPCoca-Cola Europacific PartneStock0.1%$30.1M
Carnival CorpStockMerged away or delisted0.0%$14.1M
CLBTCellebrite Di LtdStock0.0%$13.4M
GWRSGlobal Water Resources IncCOMMON STOCK0.0%$9.7M
BBDBanco Bradesco-AdrSP ADR PFD NEW0.0%$7.4M
Hologic IncStockMerged away or delisted0.0%$5.1M
Ascendis Pharma A/SSPONSORED ADRMerged away or delisted0.0%$3.5M
VIVTelefonica Brasil-AdrSPONSORED ADS0.0%$3.3M
Air Lease CorpCL AMerged away or delisted0.0%$2.7M
FLSFlowserve CorpCOM0.0%$2.7M
Masimo CorpStockMerged away or delisted0.0%$2.6M
SUZSuzano SA - Spon ADRADR0.0%$2.4M
IVZInvesco LtdStock0.0%$2.2M
Clearwater Analytics Hds-AStockMerged away or delisted0.0%$2.0M
VSNTVersant Media Group IncStock0.0%$1.9M
Sealed Air Corp NewCOMMerged away or delisted0.0%$1.7M
Tri Pointe Homes IncCOMMerged away or delisted0.0%$1.7M
INTRInter & Co Inc - Cl AStock0.0%$1.7M
AAONAaon IncCOM PAR $0.0040.0%$1.6M
IBNIcici Bank Ltd-Spon ADRADR0.0%$1.6M
Amicus Therapeutics IncCOMMON STOCKMerged away or delisted0.0%$1.6M
Veris Residential IncCOMMerged away or delisted0.0%$1.5M
Arcellx IncStockMerged away or delisted0.0%$1.5M
Apellis Pharmaceuticals IncCOMMerged away or delisted0.0%$1.4M
TRNTrinity Industries IncStock0.0%$901K
MBCMasterbrand IncCOMMON STOCK0.0%$743K
PAGSPagseguro Digital Ltd-Cl ACOM CL A0.0%$710K
Vici properties incCOMMerged away or delisted0.0%$626K
BCCBoise Cascade CoCOM0.0%$607K
CNMDConmed CorpStock0.0%$524K
Soleno Therapeutics IncCOMMerged away or delisted0.0%$516K
Onestream IncCL AMerged away or delisted0.0%$511K
JBGSJbg Smith PropertiesREIT0.0%$466K
PPCPilgrim'S Pride CorpStock0.0%$446K
Mister Car Wash IncCOMMerged away or delisted0.0%$445K
WHRWhirlpool CorpStock0.0%$437K
NTLAIntellia Therapeutics IncCOM0.0%$433K
AATAmerican Assets Trust IncREIT0.0%$423K
QDELQuidelortho CorpStock0.0%$401K
MLKNMillerknoll IncCOM0.0%$396K
ARHSArhaus IncCOMMON STOCK0.0%$378K
CWHCamping World Holdings Inc-AStock0.0%$362K
WSWorthington Steel IncCOM SHS0.0%$356K
ENREnergizer Holdings IncStock0.0%$350K
LNNLindsay CorpCOMMON STOCK0.0%$342K
ESRTEmpire State Realty Trust-ACL A0.0%$315K
PRGSProgress Software CorpStock0.0%$295K
AMSCAmerican Superconductor CorpSHS NEW0.0%$291K
FIVNFive9 IncCOM0.0%$285K
CCOICogent Communications HoldinCOMMON STOCK0.0%$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.