Mitsubishi Ufj Asset Management Co.2026-Q1
三菱UFJ資產管理2026年第一季申報顯示,NVDA在加碼後仍是最大持倉,權重為6.60%,而資訊科技類股權重也從0.3356降至0.3129。總持倉數由1626檔降至1618檔。
新建立倉位與完全出清
| 代碼 | 動作 | 價值(美元) | 投資組合佔比 |
|---|---|---|---|
| — | — | — | — |
本季未記錄new_buy或sold_out動作;所有揭露的變動皆為加碼或減持。
增持與減持持倉
| 代碼 | 動作 | 價值變動 | 權重變動(百分點) |
|---|---|---|---|
| MSFT † | 加碼 | -$1.74B | -1.23pts |
| NFLX | 加碼 | +$945.3M | +0.63pts |
| ADP | 減持 | -$532.9M | -0.36pts |
| AMZN | 加碼 | +$532.5M | +0.32pts |
| XOM | 加碼 | +$516.8M | +0.34pts |
| AJG | 減持 | -$500.5M | -0.34pts |
| ROP | 減持 | -$442.5M | -0.30pts |
| ABT | 減持 | -$364.6M | -0.25pts |
| GOOGL † | 加碼 | -$361.0M | -0.27pts |
| TMO | 減持 | -$325.1M | -0.23pts |
| COR | 加碼 | +$291.4M | +0.20pts |
| JNJ | 加碼 | +$287.8M | +0.19pts |
| CVX | 加碼 | +$272.8M | +0.18pts |
| BR | 減持 | -$251.4M | -0.17pts |
| BKNG | 減持 | -$251.4M | -0.17pts |
| WMT | 加碼 | +$247.8M | +0.16pts |
| TSLA † | 加碼 | -$234.0M | -0.18pts |
| V † | 加碼 | -$227.6M | -0.16pts |
| COST | 加碼 | +$214.2M | +0.14pts |
| AON | 加碼 | +$188.2M | +0.13pts |
| KO | 加碼 | +$186.6M | +0.11pts |
| CAT | 加碼 | +$185.1M | +0.12pts |
| AMAT | 加碼 | +$170.8M | +0.11pts |
| META † | 加碼 | -$165.2M | -0.13pts |
| LLY † | 加碼 | -$161.0M | -0.12pts |
| GEV | 加碼 | +$154.8M | +0.10pts |
| AVGO † | 加碼 | -$151.6M | -0.13pts |
| VRT | 加碼 | +$149.8M | +0.10pts |
| SPGI † | 加碼 | -$141.8M | -0.10pts |
| ORCL † | 加碼 | -$132.8M | -0.09pts |
| LRCX | 加碼 | +$122.7M | +0.07pts |
| VZ | 加碼 | +$121.4M | +0.08pts |
| CRM † | 加碼 | -$121.0M | -0.09pts |
| LITE | 加碼 | +$120.5M | +0.08pts |
| MRK | 加碼 | +$119.5M | +0.08pts |
| MU | 加碼 | +$117.7M | +0.07pts |
| COP | 加碼 | +$115.1M | +0.08pts |
| APP † | 加碼 | -$110.0M | -0.08pts |
| LIN | 加碼 | +$104.5M | +0.07pts |
| INTU † | 加碼 | -$101.3M | -0.07pts |
| PM | 加碼 | +$100.6M | +0.06pts |
| STE | 加碼 | +$99.4M | +0.07pts |
| UNH † | 加碼 | -$99.2M | -0.07pts |
| COHR | 加碼 | +$98.4M | +0.06pts |
| NVDA † | 加碼 | -$97.1M | -0.13pts |
| EFX | 減持 | -$95.0M | -0.07pts |
| T | 加碼 | +$94.9M | +0.06pts |
| GLW | 加碼 | +$93.3M | +0.06pts |
| INTC | 加碼 | +$91.9M | +0.05pts |
| CIEN | 加碼 | +$89.9M | +0.06pts |
† 代表實際增加持股(真實買入),但美元價值因股價跌幅超過加碼股份價值而下降——並非賣出。
加碼42檔、減持8檔;其中14檔加碼出現價值下滑(†)。
投資組合概覽
| 指標 | 本季 | 前一季 |
|---|---|---|
| 持股檔數 | 1618 | 1626 |
| 周轉率 | 0.143828 | 0.12775 |
| HHI | 0.016642 | 0.01822 |
| 對應價值比率 | 0.9909128107539684 | 0.9907098841090587 |
| 動能傾斜(百分點) | 0.109238 | 0.117594 |
| 變異係數 | 5.093384 | 5.351941 |
| 類股:能源 | 0.0357 | 0.0252 |
| 類股:原物料 | 0.0177 | 0.0154 |
| 類股:公用事業 | 0.0223 | 0.0198 |
| 類股:金融 | 0.1372 | 0.147 |
| 類股:醫療保健 | 0.0985 | 0.1002 |
| 類股:工業 | 0.0864 | 0.0785 |
| 類股:房地產 | 0.0233 | 0.0218 |
| 類股:必需消費 | 0.0589 | 0.0531 |
| 類股:通訊服務 | 0.1043 | 0.1014 |
| 類股:非必需消費 | 0.1028 | 0.102 |
| 類股:資訊科技 | 0.3129 | 0.3356 |
總結:本基金加碼42檔、減持8檔,其中NVDA、MSFT、AVGO與META均獲加碼。然而其中14檔加碼標的的美元價值走低,資訊科技類股權重仍由0.3356降至0.3129。周轉率由0.12775升至0.143828,持股檔數由1626檔降至1618檔。