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Nordea Investment Management Ab 13F Filings, Portfolio & Analysis

CIK: 0001218210
Stockholm M 540
Zip Code: SE-10571
Latest Portfolio Value
$116.45 B
+2.00%
Total Holdings
859
14
Latest Report Date
Q4 2025
Top 10 Concentration
31.90%

Nordea Investment Management Ab — Portfolio Overview & Company Profile

Nordea Investment Management Ab (CIK: 0001218210) is a financial institution headquartered at M 540, , Stockholm, Sweden SE-10571. The firm regularly files Form 13F with the U.S. Securities and Exchange Commission (SEC), disclosing its equity holdings and investment positions.

As of the latest reporting period (2025-12-31), the institution manages a portfolio valued at $116,449,456,925, comprising 859 distinct securities. Over its filing history, it has submitted 56 Form 13F reports.

To view the institution’s full SEC filing history:
🔗 View All SEC Filings

Q4 2025 — Top-10 concentration: 31.9%. Quarterly turnover: 7.3%. ▲ 42 new, +384 added, −423 reduced, ×28 exited.

Portfolio Summary (Q4 2025)

Top Buys

Q4 2025

Top Sells

Q4 2025

Asset Allocation

Stocks/ETFs
+1.99%
$116.44 B 99.99%
Options
$0 0.00%
Debt
$0 0.00%
Other
+23.84%
$13.56 M 0.01%

Sector Allocation (Stocks)

Top Stock & ETF Holdings (Q4 2025)

Name Shares Market Value Weight Change Activity
40.42 M $7.61 B 6.54% ▲ 1,046,474 Add 2.7%
14.19 M $6.88 B 5.91% ▲ 32,505 Add 0.2%
22.04 M $5.99 B 5.14% ▲ 794,771 Add 3.7%
9.81 M $3.41 B 2.93% ▲ 3,160,586 Add 47.5%
13.89 M $3.21 B 2.76% ▲ 1,060,428 Add 8.3%
9.26 M $2.9 B 2.49% ▼ 2,336,756 Reduce -20.1%
8.56 M $2.69 B 2.31% ▲ 396,746 Add 4.9%
1.48 M $1.59 B 1.37% ▲ 109,980 Add 8.0%
2.26 M $1.49 B 1.28% ▼ 270,527 Reduce -10.7%
2.38 M $1.37 B 1.17% ▲ 25,954 Add 1.1%

Historical Portfolio Charts