RI

Rakuten Investment Management, Inc.

集中型投資策略趨勢追蹤型高頻交易型

申報總市值

US$491.9億

申報季度: 2026-03-31 · 持股檔數: 509

Rakuten Investment Management, Inc.在最新一期 13F 報告中揭露了 509 項持股,申報期為 2026-03-31,總持股市值約為 US$491.9億,季度換手率為 60.6%。

機構性格雪花圖

集中度
100
持倉穩定性
60.65
動能/逆勢
100
產業集中度
50.57
多樣化
100
倉位均衡度
0

近期動向

  • 加碼 VTI

    +100.0% US$155.3億

  • 加碼 VT

    +100.0% US$21.3億

  • 減碼 MSFT

    +12.2% -US$9329.7萬

  • 加碼 SCHD

    +100.0% US$11.3億

  • 加碼 VXUS

    +100.0% US$11.0億

  • 加碼 VOO

    +100.0% US$5.3億

持倉地圖

新建倉加碼不變減碼

前十大持股佔比

本季完整持股清單

僅顯示前 464 大持股(共 509 檔)

#代號標的名稱資產子類別佔比佔比變動持倉量變化4Q Trend
1VTIVanguard Total Stock Mkt ETFETF-其他63.14%+10.83%+100.00%
2VTVanguard Tot World Stk ETFETF-其他8.66%+1.49%+100.00%
3SCHDSchwab US Dvd Equity ETFETF-其他4.58%+0.78%+100.00%
4VXUSVanguard Total Intl StockETF-其他4.48%+0.77%+100.00%
5VOOVanguard S&p 500 ETFETF-大型股與成長2.15%+0.37%+100.00%
6NVDANvidia CORP股票-科技1.42%+12.86%
7MSFTMicrosoft CORP股票-科技0.91%-0.91%+12.23%
8VYMVanguard High Dvd Yield ETFETF-其他0.81%+0.14%+100.00%
9GOOGLAlphabet Inc-cl A股票-通訊服務0.55%+12.45%
10AVGOBroadcom INC股票-科技0.50%+15.12%
11GOOGAlphabet Inc-cl C股票-通訊服務0.46%+12.71%
12METAMeta Platforms Inc-class A股票-通訊服務0.42%-0.34%+12.72%
13TSLATesla INC股票-循環性消費0.38%-0.33%+14.91%
14SCHESchwab Emrg Mrkts Eqty ETFETF-其他0.30%+0.05%+100.00%
15IVVIshares Core S&p 500 ETFETF-大型股與成長0.28%+0.05%+100.00%
16WMTWalmart INC股票-非循環性消費0.24%+0.02%+62.83%
17JPMJpmorgan Chase & Co股票-金融0.23%+11.74%
18XOMExxon Mobil CORP股票-能源0.22%-0.01%+11.75%
19LLYEli Lilly & Co股票-醫療保健0.21%+12.64%
20COSTCostco Wholesale CORP股票-非循環性消費0.19%-0.05%+12.01%
21JNJJohnson & Johnson股票-醫療保健0.18%-0.04%+12.85%
22USRTIshares Core US Reit ETFETF-其他0.18%+0.03%+100.00%
23MUMicron Technology INC股票-科技0.17%-0.06%+15.84%
24VWOVanguard Ftse Emerging MarkeETF-新興市場0.17%+0.03%+100.00%
25NFLXNetflix INC股票-通訊服務0.17%+11.46%
26VVisa Inc-class A Shares股票-金融0.15%+12.25%
27VCITVanguard Int-term CorporateETF-投資等級公司債0.14%+0.03%+100.00%
28PLTRPalantir Technologies Inc-a股票-科技0.13%-0.13%+12.04%
29CSCOCisco Systems INC股票-科技0.13%+11.96%
30MAMastercard INC - A股票-金融0.12%+12.12%
31CVXChevron CORP股票-能源0.12%-0.01%+11.83%
32LRCXLam Research CORP股票-科技0.12%-0.04%+8.53%
33ABBVAbbvie INC股票-醫療保健0.11%+12.83%
34PGProcter & Gamble Co/the股票-非循環性消費0.10%+12.35%
35HDHome Depot INC股票-循環性消費0.10%+12.83%
36INTCIntel CORP股票-科技0.09%-0.03%+16.17%
37CATCaterpillar INC股票-工業0.09%+12.35%
38VEAVanguard Ftse Developed ETFETF-其他0.09%+0.01%+100.00%
39KOCoca-cola Co/the股票-非循環性消費0.09%+12.89%
40PEPPepsico INC股票-非循環性消費0.09%+11.79%
41KLACKla CORP股票-科技0.09%+10.22%
42MRKMerck & Co. INC.股票-醫療保健0.09%+12.47%
43GEGeneral Electric股票-工業0.09%+12.20%
44IEMGIshares Core Msci EmergingETF-新興市場0.09%+0.02%+100.00%
45TXNTexas Instruments INC股票-科技0.08%+10.82%
46PMPhilip Morris International股票-非循環性消費0.08%+12.82%
47GSGoldman Sachs Group INC股票-金融0.07%+12.48%
48WFCWells Fargo & Co股票-金融0.07%+10.98%
49UNHUnitedhealth Group INC股票-醫療保健0.07%+12.82%
50ORCLOracle CORP股票-科技0.07%+13.75%
150 of 464

本季持股變動

Rakuten Investment Management, Inc. 在 2026-03-31 最顯著的持倉異動: 清倉: Apple INC (AAPL); 清倉: Amazon.com INC (AMZN); 清倉: Berkshire Hathaway Inc-cl B (BRK-B); 清倉: Advanced Micro Devices (AMD); 清倉: Bank Of America CORP (BAC).

Rakuten Investment Management, Inc. 於截至 2026-03-31 該季申報之持倉異動,含代號、發行人、權重變化、股數變化與操作類型
#代號標的名稱佔比變動持倉量變化異動類型
1VTIVanguard Total Stock Mkt ETF+10.8%+100.00%加碼
2VTVanguard Tot World Stk ETF+1.5%+100.00%加碼
3SCHDSchwab US Dvd Equity ETF+0.8%+100.00%加碼
4VXUSVanguard Total Intl Stock+0.8%+100.00%加碼
5VOOVanguard S&p 500 ETF+0.4%+100.00%加碼
6VYMVanguard High Dvd Yield ETF+0.1%+100.00%加碼
7SCHESchwab Emrg Mrkts Eqty ETF+0.1%+100.00%加碼
8IVVIshares Core S&p 500 ETF+0.1%+100.00%加碼
9USRTIshares Core US Reit ETF0%+100.00%加碼
10VWOVanguard Ftse Emerging Marke0%+100.00%加碼
11VCITVanguard Int-term Corporate0%+100.00%加碼
12WMTWalmart INC0%+62.83%加碼
13IEMGIshares Core Msci Emerging0%+100.00%加碼
14VEAVanguard Ftse Developed ETF0%+100.00%加碼
15VCSHVanguard S/t CORP Bond ETF0%+100.00%加碼
16USHYIshares Broad Usd High Yield0%+100.00%加碼
17AGGIshares Core U.s. Aggregate0%+100.00%加碼
18SLBSlb LTD0%+112.89%加碼
19XOMExxon Mobil CORP0%+11.75%加碼
20CVXChevron CORP0%+11.83%加碼
21INTCIntel CORP0%+16.17%加碼
22JNJJohnson & Johnson0%+12.85%加碼
23LRCXLam Research CORP0%+8.53%加碼
24COSTCostco Wholesale CORP-0.1%+12.01%加碼
25MUMicron Technology INC-0.1%+15.84%加碼
26APPApplovin Corp-class A-0.1%+11.54%加碼
27PLTRPalantir Technologies Inc-a-0.1%+12.04%加碼
28TSLATesla INC-0.3%+14.91%加碼
29METAMeta Platforms Inc-class A-0.3%+12.72%加碼
30MSFTMicrosoft CORP-0.9%+12.23%加碼
31AAPLApple INCEXIT清倉
32AMZNAmazon.com INCEXIT清倉
33BRK-BBerkshire Hathaway Inc-cl BEXIT清倉
34AMDAdvanced Micro DevicesEXIT清倉
35BACBank Of America CORPEXIT清倉
36AMATApplied Materials INCEXIT清倉
37AMGNAmgen INCEXIT清倉
38BKNGBooking Holdings INCEXIT清倉
39RTXRtx CORPEXIT清倉
40ADIAnalog Devices INCEXIT清倉
41ABTAbbott LaboratoriesEXIT清倉
42AXPAmerican Express CoEXIT清倉
43BABoeing Co/theEXIT清倉
44APHAmphenol Corp-cl AEXIT清倉
45ADPAutomatic Data ProcessingEXIT清倉
46ANETArista Networks INCEXIT清倉
47ADSKAutodesk INCEXIT清倉
48AEPAmerican Electric PowerEXIT清倉
49ABNBAirbnb Inc-class AEXIT清倉
50BNYBank Of New York Mellon CORPEXIT清倉

FAQ

Rakuten Investment Management, Inc. 是什麼機構?屬於哪種投資人類型?
Rakuten Investment Management, Inc. 是一家投資管理機構,每季依規定向 SEC 申報 Form 13F,揭露其在美國上市股票的持倉資訊。根據最新一期申報(2026-03-31),該機構追蹤的股票投資組合估值約為 US$491.9億,分佈在 509 個已申報部位之中。
Rakuten Investment Management, Inc. 目前前幾大持股有哪些?
根據最新 13F 申報,Rakuten Investment Management, Inc. 按市值排列的前幾大持股為: 1. Vanguard Total Stock Mkt ETF (VTI) — US$310.6億 (63.1%) 2. Vanguard Tot World Stk ETF (VT) — US$42.6億 (8.7%) 3. Schwab US Dvd Equity ETF (SCHD) — US$22.5億 (4.6%) 4. Vanguard Total Intl Stock (VXUS) — US$22.0億 (4.5%) 5. Vanguard S&p 500 ETF (VOO) — US$10.6億 (2.1%)
Rakuten Investment Management, Inc. 在最新一期 13F 申報中做了哪些操作?
在最新申報季度中,Rakuten Investment Management, Inc. 共進行了 50 項顯著調整:新建倉 0 個部位、加碼 30 個既有持股、減碼 0 個部位,並完全清倉 20 個持股。 其中幅度最大的異動:清倉: Apple INC (AAPL); 清倉: Amazon.com INC (AMZN); 清倉: Berkshire Hathaway Inc-cl B (BRK-B); 清倉: Advanced Micro Devices (AMD); 清倉: Bank Of America CORP (BAC)
Rakuten Investment Management, Inc. 主要集中投資哪些產業板塊?
根據目前已申報的股票投資組合,Rakuten Investment Management, Inc. 的主要板塊分佈如下: • Information Technology: 33.1% • Communication Services: 13.7% • Financials: 9.9% • Health Care: 9.8% • Industrials: 7.9% • Consumer Discretionary: 7.3%