Institutionella Aktiefonden Stabil SE0003269091
ägs av Nordea Funds Ab
Snabbtitt
Förmögenhet
1 067 612 235,00 krLikvida medel
15 573 751,00 krAntal innehav
81Risk
-Avgift
-Innehav
- Namn Antal Förmögenhet Andel förmögenhet
- EBAY INC US2786421030 70546 42 013 218,81 kr 3.68%
- CIGNA CORP US1255231003 20647 41 781 014,21 kr 3.66%
- JOHNSON & JOHNSON US4781601046 28319 39 550 725,32 kr 3.46%
- NIPPON TELEGRAPH & TELEPHONE JP3735400008 153700 34 235 034,97 kr 3%
- AUTOZONE INC US0533321024 2675 34 222 265,22 kr 3%
- AT&T INC US00206R1023 138845 34 017 842,49 kr 2.98%
- CISCO SYSTEMS INC US17275R1023 75491 33 872 955,13 kr 2.97%
- COMCAST CORP-CLASS A US20030N1019 68168 32 764 439,64 kr 2.87%
- BRISTOL-MYERS SQUIBB CO US1101221083 54744 30 937 812,03 kr 2.71%
- CVS HEALTH CORP US1266501006 39055 27 663 254,04 kr 2.42%
- ALPHABET INC-CL A US02079K3059 1269 26 322 553,46 kr 2.31%
- LKQ CORP US5018892084 58779 24 566 902,00 kr 2.15%
- PEPSICO INC US7134481081 19482 24 495 757,96 kr 2.15%
- KDDI CORP JP3496400007 90700 24 184 319,98 kr 2.12%
- LABORATORY CRP OF AMER HLDGS US50540R4092 9915 23 154 778,61 kr 2.03%
- MEDTRONIC PLC IE00BTN1Y115 20702 21 877 174,39 kr 1.92%
- ZIFF DAVIS INC US48123V1026 18363 21 604 478,54 kr 1.89%
- INTL BUSINESS MACHINES CORP US4592001014 17077 21 160 552,99 kr 1.85%
- MERCK & CO. INC. US58933Y1055 31262 20 594 969,10 kr 1.8%
- AKAMAI TECHNOLOGIES INC US00971T1016 19752 19 709 041,87 kr 1.73%
- ORACLE CORP US68389X1054 29269 19 390 453,47 kr 1.7%
- AMDOCS LTD GB0022569080 28911 19 062 169,34 kr 1.67%
- SANOFI FR0000120578 21064 18 898 294,49 kr 1.66%
- ANTHEM INC US0367521038 5786 18 757 319,08 kr 1.64%
- FISERV INC US3377381088 20371 18 485 754,60 kr 1.62%
- MUENCHENER RUECKVER AG-REG DE0008430026 7642 17 900 071,89 kr 1.57%
- CGI INC CA12532H1047 21500 16 793 973,75 kr 1.47%
- FRESENIUS SE & CO KGAA DE0005785604 35758 15 973 857,51 kr 1.4%
- MCKESSON CORP US58155Q1031 9224 15 053 920,13 kr 1.32%
- ROYAL BANK OF CANADA CA7800871021 17300 14 936 557,04 kr 1.31%
- TAKEDA PHARMACEUTICAL CO LTD JP3463000004 50300 14 395 193,86 kr 1.26%
- QUEST DIAGNOSTICS INC US74834L1008 12595 14 184 285,59 kr 1.24%
- PFIZER INC US7170811035 42114 13 944 695,56 kr 1.22%
- UNIVERSAL HEALTH SERVICES-B US9139031002 10852 13 485 815,67 kr 1.18%
- ROGERS COMMUNICATIONS INC-B CA7751092007 28000 12 594 361,58 kr 1.1%
- SUN HUNG KAI PROPERTIES HK0016000132 93500 11 864 246,33 kr 1.04%
- VERIZON COMMUNICATIONS INC US92343V1044 24596 11 718 182,81 kr 1.03%
- CITRIX SYSTEMS INC US1773761002 11329 11 310 150,53 kr 0.99%
- VMWARE INC-CLASS A US9285634021 8183 11 261 916,35 kr 0.99%
- ZIMMER BIOMET HOLDINGS INC US98956P1021 7951 10 866 775,22 kr 0.95%
- ASSOCIATED BRITISH FOODS PLC GB0006731235 39407 10 378 537,37 kr 0.91%
- RECKITT BENCKISER GROUP PLC GB00B24CGK77 13431 10 192 282,89 kr 0.89%
- LOBLAW COMPANIES LTD CA5394811015 18500 9 725 453,89 kr 0.85%
- DEUTSCHE POST AG-REG DE0005552004 16463 9 630 447,08 kr 0.84%
- ROCHE HOLDING AG-GENUSSCHEIN CH0012032048 2966 9 579 557,94 kr 0.84%
- COGNIZANT TECH SOLUTIONS-A US1924461023 16046 9 409 853,77 kr 0.82%
- RED ELECTRICA CORPORACION SA ES0173093024 57295 9 062 805,50 kr 0.79%
- MONDELEZ INTERNATIONAL INC-A US6092071058 16740 8 894 324,42 kr 0.78%
- LOWE'S COS INC US5486611073 5090 8 431 066,97 kr 0.74%
- ARCHER-DANIELS-MIDLAND CO US0394831020 16292 8 402 348,51 kr 0.74%
- TARGET CORP US87612E1064 3854 7 940 717,05 kr 0.7%
- UNILEVER PLC GB00B10RZP78 15442 7 752 548,78 kr 0.68%
- STANLEY BLACK & DECKER INC US8545021011 4267 7 441 832,76 kr 0.65%
- SIEMENS AG-REG DE0007236101 5439 7 375 513,24 kr 0.65%
- DOLLAR GENERAL CORP US2566771059 3953 7 300 596,17 kr 0.64%
- MICHELIN (CGDE) FR0000121261 5325 7 289 320,72 kr 0.64%
- METRO INC/CN CA59162N1096 17600 7 188 847,10 kr 0.63%
- GRAND CANYON EDUCATION INC US38526M1062 9222 7 132 978,84 kr 0.62%
- BANK OF NOVA SCOTIA CA0641491075 10834 6 001 987,18 kr 0.53%
- GENPACT LTD BMG3922B1072 15553 5 987 765,02 kr 0.52%
- OPEN TEXT CORP CA6837151068 13200 5 715 151,62 kr 0.5%
- CK ASSET HOLDINGS LTD KYG2177B1014 94500 5 555 098,75 kr 0.49%
- AMGEN INC US0311621009 2590 5 346 981,57 kr 0.47%
- SVENSKA HANDELSBANKEN-A SHS SE0007100599 52835 5 115 484,70 kr 0.45%
- ATOS SE FR0000051732 9793 5 110 632,39 kr 0.45%
- CHECK POINT SOFTWARE TECH IL0010824113 5116 5 054 761,48 kr 0.44%
- OVERSEA-CHINESE BANKING CORP SG1S04926220 63375 4 798 637,85 kr 0.42%
- KELLOGG CO US4878361082 8192 4 503 999,49 kr 0.39%
- SUMITOMO REALTY & DEVELOPMEN JP3409000001 14700 4 490 877,37 kr 0.39%
- DAITO TRUST CONSTRUCT CO LTD JP3486800000 4700 4 394 378,79 kr 0.38%
- KIMBERLY-CLARK CORP US4943681035 3844 4 380 781,93 kr 0.38%
- REPUBLIC SERVICES INC US7607591002 4156 3 881 116,76 kr 0.34%
- CHUBB LTD CH0044328745 2489 3 359 149,11 kr 0.29%
- SINGAPORE TELECOMMUNICATIONS SG1T75931496 220900 3 205 260,23 kr 0.28%
- STATE STREET CORP US8574771031 4107 2 837 339,12 kr 0.25%
- TD SYNNEX CORP US87162W1009 2595 2 704 512,37 kr 0.24%
- WASTE MANAGEMENT INC US94106L1098 2264 2 688 329,46 kr 0.24%
- SEVERN TRENT PLC GB00B1FH8J72 8316 2 456 830,29 kr 0.22%
- ADVANCE AUTO PARTS INC US00751Y1064 1362 2 392 672,22 kr 0.21%
- UNITED UTILITIES GROUP PLC GB00B39J2M42 20801 2 389 957,84 kr 0.21%
- DANONE FR0000120644 3120 1 887 600,96 kr 0.17%
- ORGANON & CO US68622V1061 3126 811 018,97 kr 0.07%
- CONCENTRIX CORP US20602D1019 13 17 715,29 kr 0%