MA

Mizuho Asset Management Co.,Ltd.

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$4.6亿

申报季度: 2016-09-30 · 持股只数: 664

Mizuho Asset Management Co.,Ltd.在最新一期 13F 报告中披露了 664 项持股,申报期为 2016-09-30,总持股市值约为 US$4.6亿,季度换手率为 30.7%。

机构性格雪花图

集中度
2.9
持仓稳定性
30.74
动能/逆势
100
行业集中度
49.35
多样化
100
仓位均衡度
80.45

近期动向

  • 减仓 DJP

    -84.6% -US$3363.4万

  • 加仓 AAPL

    +3.6% US$256.3万

  • 加仓 ATVIEUR

    +143.8% US$303.3万

  • 加仓 NVDA

    +363.8% US$195.2万

  • 加仓 ARCPEUR

    +1684.2% US$183.3万

  • 减仓 LMT

    -77.0% -US$216.9万

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

#代码标的名称资产子类别占比占比变动持仓量变化4Q Trend
1AAPLApple INC股票-科技3.02%+0.97%+3.59%
2MOAltria Group INC股票-非周期性消费2.15%+0.09%-4.98%
3SPGSimon Property Group INC股票-房地产2.12%+11.09%
4MSFTMicrosoft CORP股票-科技1.62%+0.14%-18.78%
5VZVerizon Communications INC股票-通信服务1.50%-10.74%
6PFEPfizer INC股票-医疗保健1.46%+0.04%-10.63%
7GOOGLAlphabet Inc-cl A股票-通信服务1.30%+0.11%-20.57%
8DJPIpath Bloomberg Commodity InETF-避险与商品1.25%-5.85%-84.59%
9WELLWelltower INC股票-房地产1.20%+9.39%
10METAMeta Platforms Inc-class A股票-通信服务1.20%+0.03%-23.80%
11AEPAmerican Electric Power Company, Inc.股票-公用事业1.13%-0.08%-16.89%
12AVBAvalonbay Communities INC股票-房地产1.06%+13.64%
13CSCOCisco Systems INC股票-科技1.04%-0.91%
14JPMJpmorgan Chase & Co股票-金融1.04%-9.95%
15ATVIEURActivision Blizzard INC股票-通信服务1.04%+0.72%+143.79%
16NEENextera Energy INC股票-公用事业0.99%-0.04%-15.07%
17MRKMerck & Co. INC.股票-医疗保健0.99%-12.16%
18General Growth Pptys INC New股票-其他0.98%+9.68%
19PLDPrologis INC股票-房地产0.97%+0.37%+22.81%
20EQREquity Residential股票-房地产0.96%-0.06%-15.89%
21Dow Chem Co股票-其他0.95%+5.49%
22PMPhilip Morris International股票-非周期性消费0.93%+0.02%-11.29%
23AEPAmerican Electric Power股票-公用事业0.92%-3.54%
24REYNReynolds Consumer Products Inc.股票-其他0.91%+0.01%-4.14%
25CVXChevron CORP股票-能源0.87%-0.01%-15.95%
26WFCWells Fargo & Co股票-金融0.87%-0.06%-16.08%
27VNOVornado Realty Trust股票-房地产0.84%-11.68%
28COPConocophillips股票-能源0.83%-0.10%-25.73%
29INTCIntel CORP股票-科技0.80%-1.76%
30UTXZUnited Tech CORP股票-其他0.78%+13.85%
31PSAPublic Storage股票-房地产0.77%-0.08%-13.10%
32DISWalt Disney Co/the股票-通信服务0.77%-4.33%
33PEPPepsico INC股票-非周期性消费0.76%-0.38%
34XOMExxon Mobil CORP股票-能源0.75%-0.18%-27.62%
35HDHome Depot INC股票-周期性消费0.74%-16.31%
36ORCLOracle CORP股票-科技0.72%-0.01%-13.76%
37DUKDuke Energy CORP股票-公用事业0.71%-4.91%
38AMZNAmazon.com INC股票-周期性消费0.70%-27.58%
39GILDGilead Sciences INC股票-医疗保健0.70%+0.04%
40SLG2EURSl Green Realty CORP股票-其他0.70%+2.95%
41KIMKimco Realty CORP股票-房地产0.69%-0.04%-14.82%
42JNJJohnson & Johnson股票-医疗保健0.68%-0.12%-27.77%
43DLRDigital Realty Trust INC股票-房地产0.64%+9.86%
44CVSCvs Health CORP股票-医疗保健0.63%-0.02%-12.79%
45MDLZMondelez International Inc-a股票-非周期性消费0.63%+12.46%
46Spirit Realty Capital Inc股票-其他0.62%-0.23%
47BBTUSDBb&t CORP股票-其他0.60%-2.82%
48DTEDte Energy Company股票-公用事业0.59%-2.61%
49TMOThermo Fisher Scientific INC股票-医疗保健0.59%-11.71%
50NYCBEURNew York Community Bancorp股票-其他0.58%+19.47%
150 of 664

本季持股变动

Mizuho Asset Management Co.,Ltd. 在 2016-09-30 最显著的持仓异动: 清仓: ; 清仓: Johnson & Johnson (JNJ); 清仓: Ashland Inc. (ASH); 新建仓: Ashland INC (ASH); 新建仓: Life Storage INC (SSS1EUR).

Mizuho Asset Management Co.,Ltd. 于截至 2016-09-30 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
1AAPLApple INC+1%+3.59%加仓
2ATVIEURActivision Blizzard INC+0.7%+143.79%加仓
3NVDANvidia CORP+0.4%+363.78%加仓
4ARCPEURVereit INC+0.4%+1684.16%加仓
5PLDPrologis INC+0.4%+22.81%加仓
6BRXBrixmor Property Group INC+0.3%+1866.92%加仓
7VTRVentas INC+0.3%+346.21%加仓
8SUISun Communities INC+0.2%+38.18%加仓
9PRUPrudential Financial INC+0.2%+32.39%加仓
10QTSQts Realty Trust Inc-cl A+0.2%+78.88%加仓
11MSFTMicrosoft CORP+0.1%-18.78%减仓
12GOOGLAlphabet Inc-cl A+0.1%-20.57%减仓
13MOAltria Group INC+0.1%-4.98%减仓
14PFEPfizer INC0%-10.63%减仓
15METAMeta Platforms Inc-class A0%-23.80%减仓
16PMPhilip Morris International0%-11.29%减仓
17REYNReynolds Consumer Products Inc.0%-4.14%减仓
18VZVerizon Communications INC-10.74%减仓
19HDHome Depot INC-16.31%减仓
20CVXChevron CORP0%-15.95%减仓
21ORCLOracle CORP0%-13.76%减仓
22CVSCvs Health CORP0%-12.79%减仓
23NEENextera Energy INC0%-15.07%减仓
24KIMKimco Realty CORP0%-14.82%减仓
25PGProcter & Gamble Co/the-0.1%-28.57%减仓
26EQREquity Residential-0.1%-15.89%减仓
27WFCWells Fargo & Co-0.1%-16.08%减仓
28AEPAmerican Electric Power Company, Inc.-0.1%-16.89%减仓
29PSAPublic Storage-0.1%-13.10%减仓
30BXPBxp INC-0.1%-46.33%减仓
31KOCoca-cola Co/the-0.1%-27.35%减仓
32COPConocophillips-0.1%-25.73%减仓
33JNJJohnson & Johnson-0.1%-27.77%减仓
34BMYBristol-myers Squibb Co-0.2%-12.97%减仓
35HONHoneywell International INC-0.2%-56.54%减仓
36COFCapital One Financial CORP-0.2%-75.74%减仓
37XOMExxon Mobil CORP-0.2%-27.62%减仓
38TAt&t INC-0.2%-37.47%减仓
39EAElectronic Arts INC-0.2%-87.53%减仓
40KRKroger Co-0.3%-85.18%减仓
41NEMNewmont CORP-0.3%-89.73%减仓
42LMTLockheed Martin CORP-0.4%-77.04%减仓
43DJPIpath Bloomberg Commodity In-5.9%-84.59%减仓
44EXIT清仓
45JNJJohnson & JohnsonEXIT清仓
46ASHAshland Inc.EXIT清仓
47ASHAshland INCNEW新建仓
48SSS1EURLife Storage INCNEW新建仓
49GNMAIshares Gnma Bond ETFEXIT清仓
50DEIDouglas Emmett INCEXIT清仓

FAQ

Mizuho Asset Management Co.,Ltd. 是什么机构?属于哪种投资人类型?
Mizuho Asset Management Co.,Ltd. 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(2016-09-30),该机构追踪的股票投资组合估值约为 US$4.6亿,分布在 664 个已申报仓位之中。
Mizuho Asset Management Co.,Ltd. 目前前几大持股有哪些?
根据最新 13F 申报,Mizuho Asset Management Co.,Ltd. 按市值排列的前几大持股为: 1. Apple INC (AAPL) — US$1395.5万 (3.0%) 2. Altria Group INC (MO) — US$993.4万 (2.1%) 3. Simon Property Group INC (SPG) — US$978.3万 (2.1%) 4. Microsoft CORP (MSFT) — US$748.9万 (1.6%) 5. Verizon Communications INC (VZ) — US$693.0万 (1.5%)
Mizuho Asset Management Co.,Ltd. 在最新一期 13F 申报中做了哪些操作?
在最新申报季度中,Mizuho Asset Management Co.,Ltd. 共进行了 50 项显著调整:新建仓 2 个仓位、加仓 10 个既有持股、减仓 33 个仓位,并完全清仓 5 个持股。 其中幅度最大的异动:清仓: ; 清仓: Johnson & Johnson (JNJ); 清仓: Ashland Inc. (ASH); 新建仓: Ashland INC (ASH); 新建仓: Life Storage INC (SSS1EUR)
Mizuho Asset Management Co.,Ltd. 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,Mizuho Asset Management Co.,Ltd. 的主要板块分布如下: • Information Technology: 24.1% • Health Care: 19.8% • Communication Services: 18.5% • Financials: 12.4% • Consumer Staples: 9.0% • Energy: 6.7%