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Ilmarinen Mutual Pension Insurance Co

Q2 2026 13F filing

Updated 28 days ago

445 disclosed positions worth $14.8B

Portfolio value
$14.8B
Total holdings
445
New positions
0
Closed positions
0
Increased
0
Decreased
0
Turnover
Filed
2026-08-13

Full holdings

Every line item disclosed in Q2 2026

?
1.N/A

DBX ETF TR

Value
$2.5B
Shares
57.52M
% Port
17.03%
?
2.N/A

ISHARES TR

Value
$2.5B
Shares
30.26M
% Port
17.02%
N

NVIDIA CORP

Value
$634.7M
Shares
3.17M
% Port
4.29%
A

APPLE INC

Value
$583.4M
Shares
2.02M
% Port
3.94%
E

ISHARES TR

Value
$522.4M
Shares
14.11M
% Port
3.53%
G

ALPHABET INC

Value
$505.9M
Shares
1.42M
% Port
3.42%
S

SPDR SER TR

Value
$491.1M
Shares
20.95M
% Port
3.32%
M

MICROSOFT CORP

Value
$360.2M
Shares
965.7K
% Port
2.43%
A

AMAZON COM INC

Value
$302.7M
Shares
1.27M
% Port
2.04%
A
10.AVGO

BROADCOM INC

Value
$221.6M
Shares
586.5K
% Port
1.50%
?
11.N/A

ISHARES TR

Value
$201.4M
Shares
1.97M
% Port
1.36%
M
12.MU

MICRON TECHNOLOGY INC

Value
$185.6M
Shares
160.8K
% Port
1.25%
M
13.META

META PLATFORMS INC

Value
$170.1M
Shares
301.9K
% Port
1.15%
T
14.TSLA

TESLA INC

Value
$151.8M
Shares
361.0K
% Port
1.03%
J

JPMORGAN CHASE & CO

Value
$130.6M
Shares
399.0K
% Port
0.88%
L
16.LLY

LILLY ELI & CO

Value
$127.5M
Shares
106.3K
% Port
0.86%
A
17.AMD

ADVANCED MICRO DEVICES INC

Value
$126.5M
Shares
217.8K
% Port
0.85%
E
18.ETHA

ISHARES TR

Value
$105.5M
Shares
1.54M
% Port
0.71%
V
19.V

VISA INC

Value
$95.4M
Shares
278.1K
% Port
0.64%
B

BERKSHIRE HATHAWAY INC DEL

Value
$94.5M
Shares
188.8K
% Port
0.64%
I
21.INTC

INTEL CORP

Value
$82.7M
Shares
592.0K
% Port
0.56%
A
22.AMAT

APPLIED MATLS INC

Value
$82.5M
Shares
114.1K
% Port
0.56%
J
23.JNJ

JOHNSON & JOHNSON

Value
$80.1M
Shares
315.5K
% Port
0.54%
L
24.LRCX

LAM RESH CORP

Value
$75.9M
Shares
175.2K
% Port
0.51%
X
25.XOM

EXXON MOBIL CORP

Value
$74.2M
Shares
543.0K
% Port
0.50%
M
26.MA

MASTERCARD INC

Value
$70.9M
Shares
138.0K
% Port
0.48%
C
27.CAT

CATERPILLAR INC

Value
$69.8M
Shares
65.5K
% Port
0.47%
W
28.WMT

WALMART INC

Value
$68.5M
Shares
604.5K
% Port
0.46%
C
29.COST

COSTCO WHSL CORP NEW

Value
$59.8M
Shares
63.9K
% Port
0.40%
B

BANK AMER CORP

Value
$59.4M
Shares
1.04M
% Port
0.40%
K
31.KLAC

KLA CORP

Value
$59.1M
Shares
196.0K
% Port
0.40%
C
32.CSCO

CISCO SYS INC

Value
$58.1M
Shares
494.2K
% Port
0.39%
A
33.ABBV

ABBVIE INC

Value
$57.5M
Shares
228.4K
% Port
0.39%
G
34.GE

GENERAL ELEC CO

Value
$55.1M
Shares
147.5K
% Port
0.37%
K
35.KO

COCA COLA CO

Value
$53.8M
Shares
662.2K
% Port
0.36%
U
36.UNH

UNITEDHEALTH GROUP INC

Value
$53.7M
Shares
129.3K
% Port
0.36%
M
37.MRK

MERCK & CO INC NEW

Value
$47.1M
Shares
366.5K
% Port
0.32%
H
38.HD

HOME DEPOT INC

Value
$45.8M
Shares
130.0K
% Port
0.31%
G
39.GEV

GE VERNOVA INC

Value
$44.5M
Shares
37.9K
% Port
0.30%
N
40.NFLX

NETFLIX INC

Value
$44.1M
Shares
617.0K
% Port
0.30%
M

MORGAN STANLEY

Value
$39.9M
Shares
191.0K
% Port
0.27%
P
42.PG

PROCTER & GAMBLE CO

Value
$38.4M
Shares
262.2K
% Port
0.26%
T
43.TXN

TEXAS INSTRS INC

Value
$37.8M
Shares
126.7K
% Port
0.26%
P
44.PANW

PALO ALTO NETWORKS INC

Value
$37M
Shares
108.6K
% Port
0.25%
W
45.WDC

WESTERN DIGITAL CORP

Value
$35.5M
Shares
55.6K
% Port
0.24%
M
46.MRVL

MARVELL TECHNOLOGY INC

Value
$34.2M
Shares
114.9K
% Port
0.23%
A
47.APH

AMPHENOL CORP NEW

Value
$34.2M
Shares
193.7K
% Port
0.23%
S

SCHWAB CHARLES CORP NEW

Value
$33.8M
Shares
366.4K
% Port
0.23%
C
49.CVX

CHEVRON CORP NEW

Value
$33.6M
Shares
203.0K
% Port
0.23%
L
50.LIN

LINDE PLC NEW

Value
$33.5M
Shares
64.6K
% Port
0.23%