13FBOX
Mitsubishi UFJ Trust & Banking Corp · 13F Holdings
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Mitsubishi UFJ Trust & Banking Corp

No.218 Data as of 2026Q2
Latest AUM (Q2 2026)
$45.72B
QoQ Change Q1 2026
+$5.16B+12.7%
Holdings
1541
New Buys
499
Adds
459
Reduces
572
Exits
55
Unchanged
11
Holdings Value Trend
Holdings by Sector
Stock Ownership TrendPortfolio %Prev Q %Q2 2026 ValueQ2 2026 SharesPrev Q ValuePrev Q SharesShares ChangeAction
NVIDIA CORPORATIONNVDA
5.44%5.54%$2.49B12.4M$2.25B12.9M-456,029-3.54%Reduce
APPLE INCAAPL
4.95%4.71%$2.26B7.8M$1.91B7.5M+286,807+3.81%Add
MICROSOFT CORPMSFT
3.21%3.51%$1.47B3.9M$1.42B3.8M+89,473+2.33%Add
AMAZON COM INCAMZN
2.96%2.8%$1.35B5.7M$1.13B5.4M+227,979+4.19%Add
ALPHABET INCGOOGL
2.53%2.3%$1.16B3.2M$934.7M3.3M-9,270-0.29%Reduce
BROADCOM INCAVGO
2.05%1.68%$937.9M2.5M$683.2M2.2M+275,520+12.48%Add
AAlphabet Inc Class CGOOG
1.96%1.85%$897.8M2.5M$750.6M2.6M-75,566-2.89%Reduce
META PLATFORMS INCMETA
1.62%1.8%$739.0M1.3M$728.9M1.3M+37,929+2.98%Add
MICRON TECHNOLOGY INCMU
1.45%0.45%$661.2M572,850$181.8M538,206+34,644+6.44%Add
TESLA INCTSLA
1.22%1.2%$557.7M1.3M$486.4M1.3M+17,451+1.33%Add
ELI LILLY & COLLY
1.18%1.01%$538.4M448,840$409.1M444,790+4,050+0.91%Add
ADVANCED MICRO DEVICES INCAMD
1.01%0.38%$461.8M795,034$155.3M763,282+31,752+4.16%Add
JPMORGAN CHASE & COJPM
0.99%0.97%$450.6M1.4M$394.8M1.3M+34,391+2.56%Add
JOHNSON & JOHNSONJNJ
0.94%1%$427.8M1.7M$403.9M1.7M+32,205+1.95%Add
VISA INCV
0.86%0.78%$394.6M1.2M$318.3M1.1M+96,996+9.21%Add
H WORLD GROUP LTDHTHT
0.83%1.08%$380.6M9.1M$439.0M8.7M+393,359+4.51%Add
NNEXTERA ENERGY INCNEE
0.8%0.71%$365.1M4.2M$288.8M3.1M+1.1M+33.81%Add
Pdd Holdings Inc ADRPDD
0.79%0.9%$363.1M4.8M$364.3M3.6M+1.2M+33.52%Add
APPLIED MATLS INCAMAT
0.78%0.41%$354.4M490,168$165.2M483,369+6,799+1.41%Add
UNION PAC CORPUNP
0.76%0.74%$346.8M1.3M$300.1M1.2M+38,272+3.09%Add
LAM RESEARCH CORPLRCX
0.76%0.44%$346.1M798,799$178.2M834,101-35,302-4.23%Reduce
INTEL CORPINTC
0.75%0.25%$343.2M2.5M$100.1M2.3M+188,737+8.32%Add
BERKSHIRE HATHAWAY INC DELBRK.B
0.75%0.74%$343.0M685,412$301.5M629,136+56,276+8.94%Add
DUKE ENERGY CORP NEWDUK
0.75%0.86%$342.9M2.7M$348.8M2.7M+44,976+1.69%Add
MASTERCARD INCORPORATEDMA
0.71%0.82%$326.1M634,858$330.9M662,206-27,348-4.13%Reduce
CISCO SYS INCCSCO
0.66%0.52%$301.5M2.6M$209.3M2.7M-130,502-4.84%Reduce
EXXON MOBIL CORPXOM
0.65%0.96%$298.4M2.2M$388.4M2.3M-106,765-4.66%Reduce
AMERICAN ELEC PWR CO INCAEP
0.64%0.68%$292.8M2.1M$275.4M2.1M+38,867+1.85%Add
WALMART INCWMT
0.62%0.75%$283.2M2.5M$303.0M2.4M+62,364+2.56%Add
CATERPILLAR INCCAT
0.6%0.47%$273.5M256,848$190.0M268,238-11,390-4.25%Reduce
ABBVIE INCABBV
0.57%0.59%$261.4M1.0M$238.2M1.1M-56,273-5.14%Reduce
IISHARES TRIVV
0.54%0.49%$247.4M330,345$199.5M305,368+24,977+8.18%Add
COSTCO WHOLESALE CORPORATIONCOST
0.49%0.59%$224.7M240,149$238.7M239,506+643+0.27%Add
SSEA LTD SPONSORD ADSSE
0.49%0.49%$223.9M2.3M$200.6M2.4M-86,345-3.56%Reduce
KLA CORPKLAC
0.49%0.3%$222.7M738,047$120.6M81,933+656,114+800.79%Add
MERCK & CO INCMRK
0.49%0.47%$222.0M1.7M$190.8M1.6M+141,457+8.92%Add
XCEL ENERGY INC COMXEL
0.48%0.52%$220.6M2.7M$209.9M2.6M+105,631+4.00%Add
UNITEDHEALTH GROUP INCUNH
0.46%0.36%$210.5M506,486$147.5M545,250-38,764-7.11%Reduce
BBANK OF AMER CORPBAC
0.46%0.41%$210.5M3.7M$166.8M3.4M+273,395+7.99%Add
CSX CORPCSX
0.46%0.58%$209.2M4.4M$233.3M5.7M-1.3M-22.55%Reduce
NETFLIX INCNFLX
0.45%0.68%$207.7M2.9M$275.1M2.9M+47,253+1.65%Add
CANADIAN NATL RY COCNI
0.45%0.35%$204.9M1.7M$143.5M1.4M+307,031+21.75%Add
SEMPRA COMSRE
0.44%0.52%$201.7M2.2M$212.2M2.2M-8,200-0.38%Reduce
PROCTER & GAMBLE COPG
0.44%0.49%$201.1M1.4M$199.4M1.4M-9,168-0.66%Reduce
MERCADOLIBRE INC COMMELI
0.44%0.48%$201.0M118,438$196.3M113,536+4,902+4.32%Add
ONEOK INC NEWOKE
0.44%0.59%$200.8M2.3M$239.1M2.6M-335,369-12.68%Reduce
TEXAS INSTRS INCTXN
0.42%0.29%$193.9M650,617$116.2M598,369+52,248+8.73%Add
GE AEROSPACEGE
0.42%0.37%$190.3M509,132$149.6M527,221-18,089-3.43%Reduce
COCA COLA COKO
0.4%0.42%$184.4M2.3M$171.0M2.2M+19,978+0.89%Add
FULL TRUCK ALLIANCE CO LTDYMM
0.4%0.4%$182.5M22.5M$160.3M19.3M+3.2M+16.37%Add

🧭 Institutional Sector Flow Heatmap

Net Outflow Net Inflow