Meiji Yasuda Life Insurance Co Top Holdings and 13F Report (2024) → What is Nvidia doing on June 10? June 10th is pivotal for Nvidia’s “Silent Partners” (From Weiss Ratings) (Ad) About Meiji Yasuda Life Insurance CoInvestment ActivityMeiji Yasuda Life Insurance Co has $4.72 billion in total holdings as of March 31, 2024.Meiji Yasuda Life Insurance Co owns shares of 260 different stocks, but just 11 companies or ETFs make up 80% of its holdings.Approximately 11.89% of the portfolio was purchased this quarter.About 12.01% of the portfolio was sold this quarter.This quarter, Meiji Yasuda Life Insurance Co has purchased 262 new stocks and bought additional shares in 99 stocks.Meiji Yasuda Life Insurance Co sold shares of 107 stocks and completely divested from 26 stocks this quarter.Largest Holdings iShares iBoxx $ Investment Grade Corporate Bond ETF $2,082,590,483SPDR Portfolio S&P 500 High Dividend ETF $431,206,264iShares Core High Dividend ETF $331,530,636iShares Core S&P 500 ETF $224,064,023Vanguard Long-Term Corporate Bond ETF $221,625,590 Largest New Holdings this Quarter iShares Core S&P 500 ETF $224,064,023 HoldingCadence Design Systems $10,971,064 HoldingMoody's $1,788,287 HoldingHoneywell International $1,036,923 HoldingHubbell $950,465 Holding Largest Purchases this Quarter iShares Core S&P 500 ETF 426,196 shares (about $224.06M)iShares iBoxx $ Investment Grade Corporate Bond ETF 622,000 shares (about $67.75M)iShares Core High Dividend ETF 495,944 shares (about $54.66M)Applied Materials 114,822 shares (about $23.68M)Meta Platforms 34,870 shares (about $16.93M) Largest Sales this Quarter Vanguard High Dividend Yield ETF 875,300 shares (about $105.90M)Apple 104,302 shares (about $17.89M)Alphabet 117,324 shares (about $17.71M)NVIDIA 12,922 shares (about $11.68M)Lam Research 5,933 shares (about $5.76M) Sector Allocation Over TimeMap of 500 Largest Holdings ofMeiji Yasuda Life Insurance Co Selling Neutral Buying Latest 13F Holdings and Changes Since Previous Quarterly FilingIssuer NameHoldings ValueApproximate Purchase/SaleChange in SharesShares Held% of PortfolioSectorLQDiShares iBoxx $ Investment Grade Corporate Bond ETF$2,082,590,483$67,748,240 ▲3.4%19,120,36844.1%FinanceSPYDSPDR Portfolio S&P 500 High Dividend ETF$431,206,2640.0%10,592,1469.1%ETFHDViShares Core High Dividend ETF$331,530,636$54,657,988 ▲19.7%3,008,1727.0%ETFIVViShares Core S&P 500 ETF$224,064,023$224,064,023 ▲New Holding426,1964.7%ETFVCLTVanguard Long-Term Corporate Bond ETF$221,625,5900.0%2,833,0004.7%ManufacturingVYMVanguard High Dividend Yield ETF$165,849,099$105,902,547 ▼-39.0%1,370,7673.5%ETFMSFTMicrosoft$96,079,406$5,901,439 ▲6.5%228,3692.0%Computer and TechnologyAMZNAmazon.com$64,979,911$8,288,641 ▲14.6%360,2391.4%Retail/WholesaleNVDANVIDIA$61,594,782$11,675,802 ▼-15.9%68,1691.3%Computer and TechnologyAAPLApple$58,077,361$17,885,707 ▼-23.5%338,6831.2%Computer and TechnologyUSIGiShares Broad USD Investment Grade Corporate Bond ETF$54,445,7480.0%1,072,4001.2%ManufacturingMETAMeta Platforms$31,792,865$16,932,175 ▲113.9%65,4740.7%Computer and TechnologyJPMJPMorgan Chase & Co.$27,581,711$2,763,940 ▲11.1%137,7020.6%FinanceGOOGAlphabet$27,565,150$6,982,339 ▲33.9%181,0400.6%Computer and TechnologyAMATApplied Materials$27,216,379$23,679,741 ▲669.6%131,9710.6%Computer and TechnologyLLYEli Lilly and Company$25,663,344$3,341,338 ▲15.0%32,9880.5%MedicalXLEEnergy Select Sector SPDR Fund$23,726,555$4,812,267 ▲25.4%251,3140.5%ETFVVisa$19,408,898$2,229,849 ▲13.0%69,5460.4%Business ServicesUNHUnitedHealth Group$19,399,166$1,919,931 ▲11.0%39,2140.4%MedicalTSLATesla$18,271,788$2,813,343 ▲18.2%103,9410.4%Auto/Tires/TrucksGOOGLAlphabet$17,083,465$17,707,711 ▼-50.9%113,1880.4%Computer and TechnologyAMDAdvanced Micro Devices$17,028,510$8,889,674 ▲109.2%94,3460.4%Computer and TechnologyHDHome Depot$16,621,004$1,884,243 ▲12.8%43,3290.4%Retail/WholesaleADBEAdobe$16,241,056$8,438,426 ▲108.1%32,1860.3%Computer and TechnologyWMTWalmart$16,216,778$12,616,566 ▲350.4%269,5160.3%Retail/WholesaleMUMicron Technology$15,809,874$12,257,495 ▲345.1%134,1070.3%Computer and TechnologySPSBSPDR Portfolio Short Term Corporate Bond ETF$15,792,9850.0%530,5000.3%ETFXLBMaterials Select Sector SPDR Fund$15,287,929$2,978,797 ▲24.2%164,5810.3%ETFMAMastercard$14,826,096$2,172,844 ▲17.2%30,7870.3%Business ServicesXLREReal Estate Select Sector SPDR Fund$14,807,385$3,110,497 ▲26.6%374,5860.3%ETFINTUIntuit$13,514,800$7,747,350 ▲134.3%20,7920.3%Computer and TechnologyPGProcter & Gamble$12,800,065$2,162,955 ▼-14.5%78,8910.3%Consumer StaplesABBVAbbVie$12,204,524$1,674,956 ▲15.9%67,0210.3%MedicalCRMSalesforce$11,909,561$4,266,516 ▲55.8%39,5430.3%Computer and TechnologyMRKMerck & Co., Inc.$11,225,910$1,446,436 ▲14.8%85,0770.2%MedicalCDNSCadence Design Systems$10,971,064$10,971,064 ▲New Holding35,2450.2%Computer and TechnologyBACBank of America$10,765,791$278,029 ▼-2.5%283,9080.2%FinanceKOCoca-Cola$10,043,186$933,301 ▼-8.5%164,1580.2%Consumer StaplesNFLXNetflix$9,465,845$699,037 ▲8.0%15,5860.2%Consumer DiscretionaryGEGeneral Electric$9,385,765$2,216,242 ▲30.9%53,4710.2%TransportationSPGIS&P Global$9,286,297$791,762 ▲9.3%21,8270.2%Business ServicesTMOThermo Fisher Scientific$8,948,309$685,828 ▲8.3%15,3960.2%MedicalCATCaterpillar$8,838,292$935,129 ▲11.8%24,1200.2%Industrial ProductsDISWalt Disney$8,713,133$878,545 ▼-9.2%71,2090.2%Consumer DiscretionaryCOSTCostco Wholesale$8,226,702$3,785,499 ▲85.2%11,2290.2%Retail/WholesaleXLUUtilities Select Sector SPDR Fund$8,132,000$1,694,098 ▲26.3%123,8690.2%ETFETNEaton$8,099,037$78,795 ▲1.0%25,9020.2%Industrial ProductsUPSUnited Parcel Service$8,001,645$1,503,690 ▲23.1%53,8360.2%TransportationSLQDiShares 0-5 Year Investment Grade Corporate Bond ETF$7,698,0080.0%156,4000.2%ManufacturingABTAbbott Laboratories$7,197,747$569,891 ▲8.6%63,3270.2%MedicalTJXTJX Companies$6,952,848$1,220,793 ▲21.3%68,5550.1%Retail/WholesaleAVGOBroadcom$6,892,132$136,517 ▼-1.9%5,2000.1%Computer and TechnologyMDLZMondelez International$6,757,800$3,890,880 ▲135.7%96,5400.1%Consumer StaplesUNPUnion Pacific$6,444,596$489,893 ▲8.2%26,2050.1%TransportationBLKBlackRock$6,376,138$323,476 ▲5.3%7,6480.1%FinanceDEDeere & Company$6,125,776$583,662 ▲10.5%14,9140.1%Industrial ProductsADPAutomatic Data Processing$5,255,529$1,866,807 ▲55.1%21,0440.1%Business ServicesCBChubb$5,144,767$4,664 ▲0.1%19,8540.1%FinanceAMGNAmgen$5,078,808$1,645,075 ▲47.9%17,8630.1%MedicalLINDE PLC$4,790,854$175,977 ▼-3.5%10,3180.1%SHSPGRProgressive$4,773,406$1,206,381 ▲33.8%23,0800.1%FinanceMSMorgan Stanley$4,757,622$583,604 ▲14.0%50,5270.1%FinanceBSXBoston Scientific$4,696,222$1,556,435 ▲49.6%68,5680.1%MedicalJNJJohnson & Johnson$4,660,277$333,623 ▼-6.7%29,4600.1%MedicalNKENIKE$4,572,973$406,745 ▲9.8%48,6590.1%Consumer DiscretionaryVRTXVertex Pharmaceuticals$4,423,382$313,926 ▲7.6%10,5820.1%MedicalGSThe Goldman Sachs Group$4,342,305$793,611 ▲22.4%10,3960.1%FinanceVZVerizon Communications$4,341,056$1,247,765 ▲40.3%103,4570.1%Computer and TechnologyBRK.BBerkshire Hathaway$4,316,638$571,487 ▼-11.7%10,2650.1%FinanceZTSZoetis$4,178,979$127,077 ▼-3.0%24,6970.1%MedicalNOWServiceNow$3,926,360$389,586 ▼-9.0%5,1500.1%Computer and TechnologyPYPLPayPal$3,870,347$288,861 ▲8.1%57,7750.1%Computer and TechnologyAXPAmerican Express$3,752,331$174,183 ▼-4.4%16,4800.1%FinanceNEENextEra Energy$3,633,028$215,952 ▲6.3%56,8460.1%UtilitiesBKNGBooking$3,551,695$555,066 ▼-13.5%9790.1%Retail/WholesaleMPCMarathon Petroleum$3,516,780$192,231 ▼-5.2%17,4530.1%Oils/EnergyPEPPepsiCo$3,453,297$4,361,249 ▼-55.8%19,7320.1%Consumer StaplesGILDGilead Sciences$3,448,244$567,102 ▼-14.1%47,0750.1%MedicalREGNRegeneron Pharmaceuticals$3,369,677$505,307 ▲17.6%3,5010.1%MedicalXOMExxon Mobil$3,360,731$1,215,638 ▼-26.6%28,9120.1%Oils/EnergyUBERUber Technologies$3,266,686$230,354 ▼-6.6%42,4300.1%Computer and TechnologyWMWaste Management$3,077,033$640,303 ▲26.3%14,4360.1%Business ServicesICEIntercontinental Exchange$3,069,362$507,254 ▲19.8%22,3340.1%FinanceSNPSSynopsys$3,035,237$284,607 ▼-8.6%5,3110.1%Computer and TechnologyEOGEOG Resources$2,927,664$591,132 ▼-16.8%22,9010.1%Oils/EnergyBMYBristol-Myers Squibb$2,824,081$518,276 ▲22.5%52,0760.1%MedicalITWIllinois Tool Works$2,815,587$601,059 ▲27.1%10,4930.1%Industrial ProductsANETArista Networks$2,805,557$106,713 ▼-3.7%9,6750.1%Computer and TechnologyWFCWells Fargo & Company$2,778,892$13,679 ▲0.5%47,9450.1%FinanceSLBSchlumberger$2,747,132$688,742 ▲33.5%50,1210.1%Oils/EnergyHCAHCA Healthcare$2,676,578$171,101 ▼-6.0%8,0250.1%MedicalMSIMotorola Solutions$2,631,467$363,500 ▼-12.1%7,4130.1%Computer and TechnologySCHWCharles Schwab$2,534,721$59,391 ▲2.4%35,0390.1%FinancePLDPrologis$2,450,480$436,367 ▼-15.1%18,8180.1%FinanceDHRDanaher$2,444,759$5,744 ▲0.2%9,7900.1%Multi-Sector ConglomeratesMCKMcKesson$2,422,267$178,771 ▼-6.9%4,5120.1%MedicalSYKStryker$2,330,092$141,001 ▲6.4%6,5110.0%MedicalCMECME Group$2,318,889$452,109 ▲24.2%10,7710.0%FinanceISRGIntuitive Surgical$2,293,570$379,535 ▼-14.2%5,7470.0%MedicalUSBU.S. Bancorp$2,292,350$741,975 ▲47.9%51,2830.0%FinanceShowing largest 100 holdings. 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