13FBOX
AMUNDI ASSET MANAGEMENT US, INC. · 13F Holdings
Options Calculator Rankings

AMUNDI ASSET MANAGEMENT US, INC.

No.10511 Data as of Q2 2021
Latest AUM (Q2 2021)
$9.61B
QoQ Change Q1 2021
-$122.06B-92.7%
Holdings
1512
New Buys
0
Adds
0
Reduces
1149
Exits
0
Unchanged
363
Holdings Value Trend
Holdings by Sector
Stock Ownership TrendPortfolio %Prev Q %Q2 2021 ValueQ2 2021 SharesPrev Q ValuePrev Q SharesShares ChangeAction
MMERCADOLIBRE INCMELI
9.19%0.67%$883.0M264,000$883.0M264,00000.00%Unchanged
ANALOG DEVICES INC COMADI
1.33%0.46%$127.7M823,749$604.4M3.9M-3.1M-78.86%Reduce
CHUBB LIMITEDCB
1.29%0.21%$123.8M783,712$279.9M1.8M-987,897-55.76%Reduce
GE AEROSPACEGE
1.14%0.14%$109.3M8.3M$187.0M14.2M-5.9M-41.53%Reduce
RTX CORPORATIONRTX
1.13%0.1%$108.4M1.4M$128.4M1.7M-258,781-15.57%Reduce
GOLDMAN SACHS GROUP INCGS
1.12%0.11%$107.9M330,082$142.3M435,083-105,001-24.13%Reduce
AAlphabet Inc Class CGOOG
1.07%1.62%$103.1M49,826$2.13B1.0M-979,717-95.16%Reduce
BOEING COBA
1.06%0.09%$102.3M401,776$118.8M466,277-64,501-13.83%Reduce
MOODYS CORPMCO
0.85%0.11%$81.9M274,354$143.1M479,268-204,914-42.76%Reduce
INTUITIVE SURGICAL INCISRG
0.83%0.12%$79.3M107,369$163.3M220,933-113,564-51.40%Reduce
TRUIST FINL CORPTFC
0.78%0.27%$74.9M1.3M$353.8M6.1M-4.8M-78.84%Reduce
PARKER-HANNIFIN CORPPH
0.73%0.06%$69.9M221,621$85.0M269,361-47,740-17.72%Reduce
BBANK NEW YORK MELLON CORPBK
0.7%0.11%$67.0M1.4M$138.5M2.9M-1.5M-51.61%Reduce
IIHS MARKIT LTD
0.67%0.06%$64.1M662,552$84.5M872,958-210,406-24.10%Reduce
ILLUMINA INCILMN
0.64%0.06%$61.8M160,912$82.4M214,476-53,564-24.97%Reduce
BOSTON SCIENTIFIC CORP COMBSX
0.63%0.12%$61.0M1.6M$157.5M4.1M-2.5M-61.28%Reduce
DEXCOM INCDXCM
0.62%0.09%$59.6M165,863$118.8M330,534-164,671-49.82%Reduce
DDARLING INGREDIENTS INCDAR
0.59%0.1%$56.7M770,727$125.6M1.7M-936,435-54.85%Reduce
BBRINKER INTL INCEAT
0.59%0.04%$56.4M793,706$56.4M793,70600.00%Unchanged
JD COM INCJD
0.58%0.21%$55.4M656,729$273.6M3.2M-2.6M-79.76%Reduce
PUBLIC STORAGE COMPSA
0.58%0.05%$55.3M224,155$66.1M267,987-43,832-16.36%Reduce
GLOBAL PMTS INC COMGPN
0.54%0.1%$52.3M259,556$136.6M677,438-417,882-61.69%Reduce
KLA CORPKLAC
0.53%0.13%$50.9M154,140$174.5M528,046-373,906-70.81%Reduce
WELLTOWER INC COMWELL
0.53%0.05%$50.8M708,895$71.0M990,583-281,688-28.44%Reduce
PAYPAL HLDGS INC COMPYPL
0.51%0.82%$48.8M200,811$1.08B4.4M-4.2M-95.46%Reduce
MMKS INC.MKSI
0.5%0.04%$48.4M261,221$48.4M261,22100.00%Unchanged
METTLER TOLEDO INTERNATIONALMTD
0.5%0.06%$48.3M41,827$82.4M71,260-29,433-41.30%Reduce
RESMED INCRMD
0.5%0.11%$48.1M248,137$147.8M761,704-513,567-67.42%Reduce
MICROSOFT CORPMSFT
0.49%4.27%$47.2M200,068$5.62B23.8M-23.6M-99.16%Reduce
LKQ CORPLKQ
0.48%0.05%$45.7M1.1M$70.4M1.7M-583,678-35.09%Reduce
CCBRE GROUP INC CL ACBRE
0.47%0.08%$45.2M571,029$111.8M1.4M-842,791-59.61%Reduce
JOHNSON CONTROLS INTERNATIONJCI
0.46%0.21%$44.0M737,957$282.3M4.7M-4.0M-84.40%Reduce
METLIFE INC COMMET
0.46%0.07%$43.9M721,744$98.1M1.6M-892,596-55.29%Reduce
PHILLIPS 66PSX
0.45%0.15%$43.0M527,817$203.4M2.5M-2.0M-78.84%Reduce
MMONSTER BEVERAGE CORP NEW COMMNST
0.44%0.05%$42.0M460,916$61.0M669,293-208,377-31.13%Reduce
AGILENT TECHNOLOGIES INC COMA
0.44%0.21%$42.0M329,974$279.6M2.2M-1.9M-85.00%Reduce
DOW HLDGS INC COMDOW
0.43%0.06%$41.1M642,011$78.5M1.2M-585,707-47.71%Reduce
GGORMAN RUPP CO EQUITY CLASS EQUITYGRC
0.42%0.03%$40.6M1.2M$40.6M1.2M00.00%Unchanged
HEALTHPEAK PROPERTIES INCDOC
0.42%0.04%$40.3M1.3M$47.1M1.5M-215,545-14.52%Reduce
SHOPIFY INCSHOP
0.42%<0.01%$40.3M36,393$71,09464,250-27,857-43.36%Reduce
HILTON WORLDWIDE HLDGS INCHLT
0.41%0.07%$39.7M328,219$91.2M754,044-425,825-56.47%Reduce
ALIGN TECHNOLOGY INC COM USD0.0001ALGN
0.41%0.09%$39.6M73,153$120.9M223,326-150,173-67.24%Reduce
ONEOK INC NEWOKE
0.41%0.08%$39.2M773,865$107.4M2.1M-1.3M-63.48%Reduce
HP INCHPQ
0.4%0.19%$38.4M1.2M$244.0M7.7M-6.5M-84.28%Reduce
LULULEMON ATHLETICA INCLULU
0.38%0.08%$37.0M120,496$99.3M323,649-203,153-62.77%Reduce
LAS VEGAS SANDS CORP COMLVS
0.38%0.04%$36.7M604,058$46.6M766,119-162,061-21.15%Reduce
HOWMET AEROSPACE INC COMHWM
0.38%0.03%$36.5M1.1M$41.7M1.3M-161,493-12.45%Reduce
WEST PHARMACEUTICAL SVSC INCWST
0.37%0.06%$35.5M125,849$75.1M266,377-140,528-52.76%Reduce
IQVIA HLDGS INCIQV
0.37%0.09%$35.4M183,431$120.8M625,555-442,124-70.68%Reduce
ACCENTURE PLC IRELANDACN
0.37%0.8%$35.4M128,140$1.05B3.8M-3.7M-96.62%Reduce

🧭 Institutional Sector Flow Heatmap

Net Outflow Net Inflow