13FBOX
PICTET ASSET MANAGEMENT LTD · 13F Holdings
Options Calculator Rankings

PICTET ASSET MANAGEMENT LTD

No.10599 Data as of 2021Q3
Latest AUM (Q3 2021)
$10.43B
QoQ Change Q2 2021
-$82.23B-88.7%
Holdings
1747
New Buys
0
Adds
0
Reduces
980
Exits
0
Unchanged
767
Holdings Value Trend
Holdings by Sector
Stock Ownership TrendPortfolio %Prev Q %Q3 2021 ValueQ3 2021 SharesPrev Q ValuePrev Q SharesShares ChangeAction
MICROSOFT CORPMSFT
2.67%1.5%$278.4M1.0M$1.39B5.1M-4.1M-79.97%Reduce
AALTAIR ENGR INCALTREUR
2.48%0.28%$258.4M3.7M$258.4M3.7M00.00%Unchanged
APPLE INCAAPL
1.91%1.46%$199.3M1.5M$1.35B9.9M-8.4M-85.26%Reduce
SSUNNOVA ENERGY INTL INC.
1.52%0.17%$158.1M4.2M$158.1M4.2M00.00%Unchanged
META PLATFORMS INCMETA
1.44%0.94%$150.6M433,159$867.8M2.5M-2.1M-82.64%Reduce
AMGEN INC COMAMGN
1.19%0.46%$124.4M510,178$430.8M1.8M-1.3M-71.13%Reduce
SSHOALS TECHNOLOGIES GROUP INSHLS
1.18%0.13%$123.3M3.5M$123.3M3.5M00.00%Unchanged
IIROBOT CORPI8R
1.12%0.13%$116.9M1.3M$116.9M1.3M00.00%Unchanged
ALPHABET INCGOOGL
1.12%0.73%$116.4M47,653$676.2M276,947-229,294-82.79%Reduce
AAlphabet Inc Class CGOOG
0.94%0.97%$98.3M39,230$895.9M357,469-318,239-89.03%Reduce
DDARLING INGREDIENTS INCDAR
0.93%0.11%$97.5M1.4M$97.5M1.4M00.00%Unchanged
LINDE PLCLIN
0.87%0.19%$90.8M314,695$177.0M613,161-298,466-48.68%Reduce
XXPLR INFRASTRUCTURE L LPXIFR
0.87%0.1%$90.5M1.2M$90.5M1.2M00.00%Unchanged
COMCAST CORP NEW CL ACMCSA
0.87%0.52%$90.4M1.6M$480.3M8.4M-6.8M-81.17%Reduce
BIOGEN INCBIIB
0.74%0.33%$77.6M224,059$301.9M871,921-647,862-74.30%Reduce
GGILEAD SCIENCES INC COMGILD
0.74%0.36%$77.3M1.1M$330.7M4.8M-3.7M-76.64%Reduce
UNITEDHEALTH GROUP INCUNH
0.71%0.49%$74.4M185,798$455.2M1.1M-950,858-83.65%Reduce
VERTEX PHARMACEUTICALS INCVRTX
0.67%0.28%$69.8M346,359$260.7M1.3M-946,786-73.22%Reduce
REGENERON PHARMACEUTICALSREGN
0.66%0.28%$68.8M123,186$263.4M471,560-348,374-73.88%Reduce
BBIO RAD LABS INCBIO
0.66%0.09%$68.8M106,734$79.3M123,071-16,337-13.27%Reduce
D R HORTON INCDHI
0.65%0.1%$67.5M747,076$93.6M1.0M-288,220-27.84%Reduce
SERVICE CORP INTLSCI
0.63%0.07%$65.9M1.2M$65.9M1.2M00.00%Unchanged
MASTERCARD INCORPORATEDMA
0.61%0.35%$63.9M175,019$322.0M881,957-706,938-80.16%Reduce
US FOODS HLDG CORPUSFD
0.61%0.07%$63.7M1.7M$63.7M1.7M00.00%Unchanged
WWELBILT INC
0.6%0.07%$63.1M2.7M$63.1M2.7M00.00%Unchanged
SSEAGEN INC
0.58%0.25%$60.6M383,825$231.0M1.5M-1.1M-73.76%Reduce
NIKE INCNKE
0.57%0.46%$59.5M385,100$423.7M2.7M-2.4M-85.96%Reduce
HHORIZON THERAPEUTICS PUB L
0.57%0.23%$59.2M632,048$213.5M2.3M-1.6M-72.27%Reduce
GE AEROSPACEGE
0.57%0.05%$59.0M573,203$49.1M3.6M-3.1M-84.27%Reduce
TTHERMO FISHER SCIENTIFIC INCTMO
0.56%1.65%$58.3M115,492$1.53B3.0M-2.9M-96.20%Reduce
HONEYWELL INTL INCHON
0.55%0.13%$57.4M261,699$116.9M532,969-271,270-50.90%Reduce
VISA INCV
0.55%0.62%$57.4M245,331$570.8M2.4M-2.2M-89.95%Reduce
BRIGHT HORIZONS FAM SOL IN DBFAM
0.54%0.06%$56.7M385,342$56.7M385,34200.00%Unchanged
PAYPAL HLDGS INC COMPYPL
0.53%1.13%$55.7M191,038$1.05B3.6M-3.4M-94.70%Reduce
T-MOBILE US INC COMTMUS
0.52%0.3%$53.9M372,417$277.1M1.9M-1.5M-80.54%Reduce
NEBIUS GROUP N VNBIS
0.49%0.06%$51.5M727,510$51.5M727,51000.00%Unchanged
AMAZON COM INCAMZN
0.49%1.11%$51.3M14,900$1.03B298,563-283,663-95.01%Reduce
APPLIED MATLS INCAMAT
0.48%0.81%$50.5M354,367$750.1M5.3M-4.9M-93.27%Reduce
CCANADA GOOSE HLDGS INCGOOS
0.48%0.05%$50.0M1.1M$50.0M1.1M00.00%Unchanged
CCHEGG INC COMCHGG
0.47%0.05%$49.1M591,165$49.1M591,16500.00%Unchanged
OOZON HLDGS PLCOZON
0.47%0.05%$48.8M832,334$48.8M832,33400.00%Unchanged
MMIDDLEBY CORPMIDD
0.46%0.05%$48.4M279,092$48.4M279,09200.00%Unchanged
JPMORGAN CHASE & COJPM
0.46%0.29%$47.8M307,577$266.7M1.7M-1.4M-82.06%Reduce
CISCO SYS INCCSCO
0.45%0.31%$47.0M887,606$286.9M5.4M-4.5M-83.60%Reduce
UUpstart Holdings INC CORP COMMONUPST
0.45%0.02%$47.0M148,777$18.6M148,77700.00%Unchanged
FIDELITY NATL INFORMATION SVCS COMFIS
0.44%0.48%$46.3M326,959$442.2M3.1M-2.8M-89.53%Reduce
SENSIENT TECHNOLOGIES CORPSXT
0.44%0.05%$46.0M531,026$46.0M531,02600.00%Unchanged
FIRST AMERN FINL CORPFAF
0.44%0.05%$45.5M730,337$45.5M730,33700.00%Unchanged
COSTCO WHOLESALE CORPORATIONCOST
0.43%0.13%$44.7M113,063$117.2M296,256-183,193-61.84%Reduce
CCHEMED CORP NEWCHE
0.43%0.05%$44.6M94,053$44.6M94,05300.00%Unchanged

🧭 Institutional Sector Flow Heatmap

Net Outflow Net Inflow