Fund HoldingsMEAG MUNICH ERGO, Kapitalanlagegesellschaft mbH

Total Portfolio Value
$3.54B
Total Bought
$626.58M
Total Sold
$585.68M
Net Transaction
+$40.90M
Filing Period:
Securities
SharesValue ($K)
Q1 2025
Q2 2025
Change
Q1 2025
Q2 2025
Weight (%)
Change
ARCHER DANIELS MIDLAND0740,695+740,695039,0941.10%+39,094
AVERY DENNISON DL 10222,697+222,697039,0771.10%+39,077
PALO ALTO NETWKS DL-,0001(PANW)61,323231,344+170,02110,46447,3421.34%+36,878
AUTOZONE INC. DL-,01(AZO)07,341+7,341027,2510.77%+27,251
NVIDIA CORP. DL-,001(NVDA)0996,049+996,0490157,3664.44%+157,366
VERTEX PHARMAC. DL-,01(VRTX)054,104+54,104024,0870.68%+24,087
TEXAS INSTRUMENTS Dl 1(TXN)098,670+98,670020,4860.58%+20,486
EMERSON EL. DL -,50(EMR)0543,300+543,300072,4382.04%+72,438
UBER TECH. DL-,00001(UBER)0183,588+183,588017,1290.48%+17,129
GILEAD SCIENCES DL-,001(GILD)0632,892+632,892070,1691.98%+70,169
L3HARRIS TECHS INC.DL-,01(LHX)210,280241,980+31,70044,01460,6981.71%+16,685
NASDAQ INC. DL -,01(NDAQ)661,842743,463+81,62150,20766,4801.88%+16,273
MORGAN STANLEY DL-,01(MS)0130,757+130,757018,4180.52%+18,418
INTL BUS. MACH. DL-,20(IBM)6,85757,027+50,1701,70516,8100.47%+15,105
DOMINION ENERGY INC.(D)0259,979+259,979014,6940.41%+14,694
AMER. EXPRESS DL -,20(AXP)3,71848,024+44,3061,00015,3190.43%+14,318
ILL. TOOL WKS(ITW)047,960+47,960011,8580.33%+11,858
PPG IND. INC. DL 1,666(PPG)476,099551,217+75,11852,06162,7011.77%+10,640
REGIONS FINANCIAL DL-,01(RF)01,930,680+1,930,680045,4101.28%+45,410
MICROSOFT DL-,00000625(MSFT)359,834292,419-67,415135,078145,4524.10%+10,374
BROADCOM INC. DL-,001(AVGO)496,518339,122-157,39683,13293,4792.64%+10,347
UNILEVER ADR/1 LS-,031111(UL)1,080,6151,219,261+138,64664,35174,5822.10%+10,232
AUTOM. DATA PROC. DL -,10033,599+33,599010,3620.29%+10,362
VERIZON COMM. INC. DL-,10(VZ)0237,775+237,775010,2890.29%+10,289
NXP SEMICONDUCTORS EO-,20
COM
263,397272,835+9,43850,06159,6121.68%+9,550
BOOKING HLDGS DL-,008(BKNG)09,265+9,265053,6371.51%+53,637
COMCAST CORP. A DL-,01(CCZ)0301,787+301,787010,7710.30%+10,771
MASTERCARD INC.A DL-,0001(MA)110,977123,015+12,03860,82969,1271.95%+8,298
BANK AMERICA DL 0,01904,206965,998+61,79237,73345,7111.29%+7,979
ALPHABET INC.CL.A DL-,001(GOOG)0401,672+401,672070,7872.00%+70,787
CANADIAN NATL RAILWAY CO.(CNI)069,759+69,75907,2540.20%+7,254
M&T BANK DL-,50(MTB)212,705232,896+20,19138,02145,1791.27%+7,158
LAM RESEARCH CORP. NEW(LRCX)203,259220,493+17,23414,77721,4630.61%+6,686
INTUIT INC. DL-,01(INTU)08,644+8,64406,8080.19%+6,808
TORONTO-DOMINION BK(TD)32,823109,835+77,0121,9678,0620.23%+6,096
ALPHABET INC.CL.C DL-,001(GOOG)345,286336,864-8,42253,94459,7561.69%+5,812
DEERE CO. DL 1(DE)011,142+11,14205,6660.16%+5,666
SEMPRA(SRE)0721,455+721,455054,6651.54%+54,665
APPLIED MATERIALS INC.036,157+36,15706,6190.19%+6,619
NEWMONT CORP. DL 1,60(NEM)090,340+90,34005,2630.15%+5,263
NETFLIX INC. DL-,001(NFLX)34,74428,007-6,73732,40037,5051.06%+5,105
ACCENTURE A DL-,0000225
SHS CLASS A
015,865+15,86504,7420.13%+4,742
CIGNA GROUP, THE DL 1(CI)21,52433,896+12,3727,08111,2050.32%+4,124
PROGRESSIVE CORP. DL 1(PGR)5,05720,388+15,3311,4315,4410.15%+4,010
VISA INC. CL. A DL -,0001(V)207,357215,277+7,92072,67076,4342.16%+3,764
PULTE GROUP INC. DL -,01(PHM)035,616+35,61603,7560.11%+3,756
AUTODESK INC.011,891+11,89103,6810.10%+3,681
MERCADOLIBRE INC. DL-,001(MELI)3211,550+1,2296264,0510.11%+3,425
DISNEY (WALT) CO.(DIS)029,347+29,34703,6390.10%+3,639
COCA-COLA CO. DL-,25(KO)051,797+51,79703,6650.10%+3,665
KLA CORP. DL -,001(KLAC)026,470+26,470023,7100.67%+23,710
AMERICAN TOWER DL -,01(AMT)015,633+15,63303,4550.10%+3,455
IDEXX LABS INC. DL-,10(IDXX)06,051+6,05103,2450.09%+3,245
DOLLAR GENER.CORP.DL-,875(DG)027,359+27,35903,1290.09%+3,129
SALESFORCE INC. DL-,001(CRM)0159,378+159,378043,4611.23%+43,461
MOLINA HEALTHCARE DL-,001(MOH)016,135+16,13504,8070.14%+4,807
BEST BUY CO. DL-,10(BBY)078,164+78,16405,2470.15%+5,247
UNITED RENTALS INC.DL-,01(URI)04,255+4,25503,2060.09%+3,206
HDFC BANK LTD ADR/3 IR 10(HDB)48,31481,290+32,9763,2106,2330.18%+3,023
DICK'S SPORTING DL-,01(DKS)015,013+15,01302,9700.08%+2,970
PNC FINL SERVICES GRP DL5(PNC)016,475+16,47503,0710.09%+3,071
PACCAR INC. DL 1(PCAR)794,946844,469+49,52377,40480,2752.27%+2,871
PAYPAL HDGS INC.DL-,0001(PYPL)147,879168,439+20,5609,64912,5180.35%+2,869
TRIMBLE INC.(TRMB)034,465+34,46502,6190.07%+2,619
RAYMOND JAMES FIN. DL-,01(RJF)0379,000+379,000058,1271.64%+58,127
CARRIER GLBL CORP DL-,01(CARR)034,427+34,42702,5200.07%+2,520
GARTNER INC. DL -,0005(IT)06,404+6,40402,5890.07%+2,589
TAIWAN SEMICON.MANU.ADR/5(TSM)035,969+35,96908,1470.23%+8,147
CROWN CASTLE INC.(CCI)558,101587,994+29,89358,17160,4051.70%+2,234
EL. ARTS INC. DL-,01(EA)013,949+13,94902,2280.06%+2,228
ZOETIS INC. CL.A DL -,01(ZTS)013,302+13,30202,0740.06%+2,074
KINROSS GOLD CORP.(KGC)0138,449+138,44902,1590.06%+2,159
CINTAS CORP.(CTAS)4,29512,918+8,6238832,8790.08%+1,996
SERVICENOW INC. DL-,001(NOW)05,527+5,52705,6820.16%+5,682
EBAY INC. DL-,001(EBAY)94,619111,316+16,6976,4098,2890.23%+1,880
U.S. Bancorp Dl-,01(USB)082,780+82,78003,7460.11%+3,746
FERGUSON ENTERPRISES INC.(FERG)031,134+31,13406,7920.19%+6,792
HEWLETT PACKARD ENT.(HPE)077,794+77,79401,5910.04%+1,591
ROCKWELL AU. DL 1(ROK)04,436+4,43601,4740.04%+1,474
DEUTSCHE BANK AG NA O.N.
NAMEN AKT
1,825,5551,503,105-322,45043,02844,4101.25%+1,382
WATERS CORP. DL-,01(WAT)03,913+3,91301,3660.04%+1,366
HUMANA INC. DL-,166(HUM)05,817+5,81701,4220.04%+1,422
CHARLES SCHWAB CORP.DL-01(SCHW)20,14330,556+10,4131,5772,7880.08%+1,211
HEALTHPEAK PROP.INC. DL 1(DOC)0205,095+205,09503,5910.10%+3,591
LULULEMON ATHLETICA INC.(LULU)04,361+4,36101,0360.03%+1,036
HOME DEPOT INC. DL-,05(HD)038,394+38,394014,0770.40%+14,077
EATON CORP.PLC DL -,01(ETN)2,5844,426+1,8427021,5800.04%+878
ZSCALER INC. DL-,001(ZS)06,826+6,82602,1430.06%+2,143
MCDONALDS CORP. DL-,01(MCD)6,7849,857+3,0732,1192,8800.08%+761
AGNICO EAGLE MINES LTD.(AEM)03,848+3,84804580.01%+458
EQUINIX INC. DL-,001(EQIX)2,9713,570+5992,4222,8400.08%+417
HCA HEALTHCARE INC.DL-,01(HCA)7,5227,768+2462,5992,9760.08%+377
BALL CORP.22,13226,182+4,0501,1521,4690.04%+316
SUN LIFE FINANCIAL INC.(SLF)037,446+37,44602,4870.07%+2,487
KEURIG DR PEPPER DL-,01(KDP)01,374,965+1,374,965045,4561.28%+45,456
CSX CORP. DL 1(CSX)066,889+66,88902,1830.06%+2,183
ECOLAB INC. DL 1(ECL)0663+66301790.01%+179
HILTON WORLD.HDGS DL -,01(HLT)0660+66001760.00%+176
FIRST SOLAR INC. D -,001(FSLR)04,456+4,45607380.02%+738
PROLOGIS INC. DL-,01(PLD)01,555+1,55501630.00%+163
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