Instuitional Investor - Apg Asset Management N.v.

Fund Profile
Filing Period:
Fund Name: Apg Asset Management N.v.
Portfolio Value $32,240,041,387
Filing Period:
No. Security Ticker Shares Value % Port
1. AAPL 10,283,896 $2,114,758,210 6.56%
2. MSFT 5,928,439 $2,060,245,062 6.39%
3. NVDA 18,925,306 $1,898,837,867 5.89%
4. AMZN 7,492,532 $1,319,690,000 4.09%
5. AVGO 4,555,075 $706,032,408 2.19%
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