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Nomura Asset Management International INC.

分散型投资策略趋势追踪型高品质投资策略

申报总市值

US$583.9亿

申报季度: 2026-03-31 · 持股只数: 1471

NOMURA ASSET MANAGEMENT INTERNATIONAL INC.在最新一期 13F 报告中披露了 1471 项持股,申报期为 2026-03-31,总持股市值约为 US$583.9亿,季度换手率为 31.2%。

机构性格雪花图

集中度
2.8
持仓稳定性
31.21
动能/逆势
94.1
行业集中度
45.61
多样化
100
仓位均衡度
72.37

近期动向

  • 减仓 MSFT

    -19.5% -US$10.7亿

  • 加仓 STX

    +36716.6% US$7.1亿

  • 减仓 CRM

    -85.2% -US$4.5亿

  • 减仓 ACN

    -50.2% -US$3.0亿

  • 加仓 TSM

    +0.3% US$9453.5万

  • 加仓 META

    +34.4% US$1.0亿

持仓地图

新建仓加仓不变减仓

前十大持股占比

本季完整持股清单

仅显示前 1232 大持股(共 1471 只)

#代码标的名称资产子类别占比占比变动持仓量变化4Q Trend
1NVDANvidia CORP股票-科技4.58%+0.07%-4.36%
2MSFTMicrosoft CORP股票-科技2.94%-1.25%-19.46%
3GOOGLAlphabet Inc-cl A股票-通信服务2.35%-0.19%-11.22%
4AAPLApple INC股票-科技2.28%-0.10%-9.92%
5AMZNAmazon.com INC股票-周期性消费2.07%-0.09%-6.74%
6TSMTaiwan Semiconductor-sp Adr股票-科技1.56%+0.33%+0.35%
7AVGOBroadcom INC股票-科技1.40%-0.04%-4.24%
8METAMeta Platforms Inc-class A股票-通信服务1.22%+0.30%+34.41%
9STXSeagate Technology Holdings plc股票-科技1.21%+1.21%+36716.63%
10HWMHowmet Aerospace INC股票-工业0.88%-14.24%
11AMDAdvanced Micro Devices股票-科技0.84%+8.60%
12VVisa Inc-class A Shares股票-金融0.82%-0.24%-20.90%
13GILDGilead Sciences INC股票-医疗保健0.82%-3.16%
14NFLXNetflix INC股票-通信服务0.74%+1.26%
15MAMastercard INC - A股票-金融0.71%-0.03%-3.96%
16BKNGBooking Holdings INC股票-周期性消费0.63%+21.53%
17ICEIntercontinental Exchange In股票-金融0.59%-4.84%
18MUMicron Technology INC股票-科技0.56%-20.79%
19INTUIntuit INC股票-科技0.56%+70.92%
20VOOVanguard S&p 500 ETFETF-大型股与成长0.53%-0.17%-30.37%
21XOMExxon Mobil CORP股票-能源0.52%-9.92%
22BABAAlibaba Group Holding-sp Adr股票-周期性消费0.51%+4.39%
23DHRDanaher CORP股票-医疗保健0.49%-0.13%-16.33%
24TXNTexas Instruments INC股票-科技0.48%+3.76%
25ISRGIntuitive Surgical INC股票-医疗保健0.47%-0.06%-4.70%
26IEFAIshares Core Msci Eafe ETFETF-其他0.44%-0.09%-27.92%
27ASMLASML Holding N.V.股票-科技0.44%+3.69%
28EFGIshares Msci Eafe Growth ETFETF-其他0.44%-2.76%
29WDCWestern Digital CORP股票-科技0.41%-13.05%
30IDXXIdexx Laboratories INC股票-医疗保健0.38%-7.56%
31EWEdwards Lifesciences CORP股票-医疗保健0.38%+0.24%+149.64%
32CSCOCisco Systems INC股票-科技0.37%-0.49%
33ONBOld National Bancorp股票-金融0.36%-6.62%
34NEENextera Energy INC股票-公用事业0.36%-18.70%
35SPGIS&p Global INC股票-金融0.35%-0.47%
36PLDPrologis INC股票-房地产0.35%-22.76%
37JPMJpmorgan Chase & Co股票-金融0.35%-11.08%
38SPOTSpotify Technology S.A.股票-通信服务0.35%+57.52%
39VMCVulcan Materials Co股票-原材料0.34%-12.76%
40CARRCarrier Global CORP股票-工业0.34%+0.28%+367.55%
41KTOSKratos Defense & Security股票-工业0.34%+7.75%
42TAt&t INC股票-通信服务0.33%-20.76%
43COSTCostco Wholesale CORP股票-非周期性消费0.32%-4.33%
44INSMInsmed INC股票-医疗保健0.32%-3.32%
45BKHBlack Hills CORP股票-公用事业0.32%+0.91%
46AMATApplied Materials INC股票-科技0.32%-5.24%
47PNCPnc Financial Services Group股票-金融0.31%+0.24%+272.29%
48PWRQuanta Services INC股票-工业0.31%-5.64%
49TMOThermo Fisher Scientific INC股票-医疗保健0.30%-8.86%
50ACNAccenture plc股票-科技0.30%-0.41%-50.16%
150 of 1,232

本季持股变动

Nomura Asset Management International INC. 在 2026-03-31 最显著的持仓异动: 清仓: Unity Software INC (U); 新建仓: Ishares Msci World ETF (URTH); 新建仓: Cboe Global Markets INC (CBOE); 清仓: Cadence Bank (CADE); 清仓: Sap Se-sponsored Adr (SAP).

Nomura Asset Management International INC. 于截至 2026-03-31 该季申报之持仓异动,含代码、发行人、权重变化、股数变化与操作类型
#代码标的名称占比变动持仓量变化异动类型
1STXSeagate Technology Holdings plc+1.2%+36716.63%加仓
2TSMTaiwan Semiconductor-sp Adr+0.3%+0.35%加仓
3METAMeta Platforms Inc-class A+0.3%+34.41%加仓
4CARRCarrier Global CORP+0.3%+367.55%加仓
5PNCPnc Financial Services Group+0.2%+272.29%加仓
6EWEdwards Lifesciences CORP+0.2%+149.64%加仓
7NOWServicenow INC+0.2%+1225.12%加仓
8UBERUber Technologies INC+0.2%+1229.55%加仓
9NVDANvidia CORP+0.1%-4.36%减仓
10MAMastercard INC - A0%-3.96%减仓
11AVGOBroadcom INC0%-4.24%减仓
12ISRGIntuitive Surgical INC-0.1%-4.70%减仓
13AMZNAmazon.com INC-0.1%-6.74%减仓
14IEFAIshares Core Msci Eafe ETF-0.1%-27.92%减仓
15TFCTruist Financial CORP-0.1%-50.61%减仓
16AAPLApple INC-0.1%-9.92%减仓
17WBSWebster Financial CORP-0.1%-57.86%减仓
18ESNTEssent Group Ltd.-0.1%-38.20%减仓
19IQVIqvia Holdings INC-0.1%-66.60%减仓
20TRVTravelers Cos Inc/the-0.1%-72.05%减仓
21EQREquity Residential-0.1%-89.47%减仓
22DHRDanaher CORP-0.1%-16.33%减仓
23ROLRollins INC-0.1%-78.38%减仓
24EFXEquifax INC-0.1%-52.82%减仓
25HDHome Depot INC-0.1%-67.43%减仓
26KKRKkr & Co INC-0.1%-86.74%减仓
27DASHDoordash INC - A-0.2%-28.06%减仓
28SNPSSynopsys INC-0.2%-59.48%减仓
29SNOWSnowflake INC-0.2%-42.05%减仓
30COFCapital One Financial CORP-0.2%-69.82%减仓
31OTISOtis Worldwide CORP-0.2%-50.91%减仓
32ELEstee Lauder Companies-cl A-0.2%-66.03%减仓
33VOOVanguard S&p 500 ETF-0.2%-30.37%减仓
34UNHUnitedhealth Group INC-0.2%-75.84%减仓
35VEEVVeeva Systems Inc-class A-0.2%-49.89%减仓
36GOOGLAlphabet Inc-cl A-0.2%-11.22%减仓
37VVisa Inc-class A Shares-0.2%-20.90%减仓
38DDOGDatadog INC - Class A-0.2%-71.46%减仓
39CSGPCostar Group INC-0.2%-40.30%减仓
40CDWCdw Corp/de-0.3%-77.40%减仓
41ACNAccenture plc-0.4%-50.16%减仓
42CRMSalesforce INC-0.7%-85.25%减仓
43MSFTMicrosoft CORP-1.3%-19.46%减仓
44UUnity Software INCEXIT清仓
45URTHIshares Msci World ETFNEW新建仓
46CBOECboe Global Markets INCNEW新建仓
47CADECadence BankEXIT清仓
48SAPSap Se-sponsored AdrEXIT清仓
49HUBSHubspot INCEXIT清仓
50MCMoelis & Co - Class ANEW新建仓

FAQ

Nomura Asset Management International INC. 是什么机构?属于哪种投资人类型?
Nomura Asset Management International INC. 是一家投资管理机构,每季依规定向 SEC 申报 Form 13F,披露其在美国上市股票的持仓信息。根据最新一期申报(2026-03-31),该机构追踪的股票投资组合估值约为 US$583.9亿,分布在 1471 个已申报仓位之中。
Nomura Asset Management International INC. 目前前几大持股有哪些?
根据最新 13F 申报,Nomura Asset Management International INC. 按市值排列的前几大持股为: 1. Nvidia CORP (NVDA) — US$26.7亿 (4.6%) 2. Microsoft CORP (MSFT) — US$17.1亿 (2.9%) 3. Alphabet Inc-cl A (GOOGL) — US$13.7亿 (2.4%) 4. Apple INC (AAPL) — US$13.3亿 (2.3%) 5. Amazon.com INC (AMZN) — US$12.1亿 (2.1%)
Nomura Asset Management International INC. 在最新一期 13F 申报中做了哪些操作?
在最新申报季度中,Nomura Asset Management International INC. 共进行了 50 项显著调整:新建仓 3 个仓位、加仓 8 个既有持股、减仓 35 个仓位,并完全清仓 4 个持股。 其中幅度最大的异动:清仓: Unity Software INC (U); 新建仓: Ishares Msci World ETF (URTH); 新建仓: Cboe Global Markets INC (CBOE); 清仓: Cadence Bank (CADE); 清仓: Sap Se-sponsored Adr (SAP)
Nomura Asset Management International INC. 主要集中投资哪些行业板块?
根据目前已申报的股票投资组合,Nomura Asset Management International INC. 的主要板块分布如下: • Information Technology: 29.2% • Financials: 13.0% • Industrials: 12.5% • Health Care: 11.0% • Consumer Discretionary: 10.5% • Communication Services: 7.0%