Metatron Capital SICAV

Metatron Capital SICAV as of Dec. 31, 2021

Portfolio Holdings for Metatron Capital SICAV

Metatron Capital SICAV holds 111 positions in its portfolio as reported in the December 2021 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Alphabet Inc-Cl C Cap Stk Cl C (GOOG) 7.7 $8.1B 316M 25.67
Microsoft Corporation (MSFT) 7.3 $7.7B 7.5B 1.02
UnitedHealth (UNH) 4.4 $4.6B 942M 4.90
Paypal Holdings (PYPL) 3.0 $3.2B 1.2B 2.72
Pfizer (PFE) 2.2 $2.3B 5.6B 0.41
Taiwan Semiconductor Adr (TSM) 2.2 $2.3B 5.2B 0.44
Lithia Mtrs Class A (LAD) 1.8 $1.9B 30M 63.15
Thermo Fisher Scientific (TMO) 1.8 $1.9B 394M 4.74
Steel Dynamics (STLD) 1.5 $1.6B 199M 7.94
Applied Materials (AMAT) 1.5 $1.6B 888M 1.77
Twitter 1.5 $1.6B 800M 1.95
Cerner Corporation 1.5 $1.5B 292M 5.21
Toll Brothers (TOL) 1.4 $1.5B 120M 12.60
Eaton (ETN) 1.2 $1.3B 399M 3.21
Cheniere Energy Com New (LNG) 1.2 $1.3B 254M 4.96
Icon Adr (ICLR) 1.2 $1.2B 81M 15.22
Rh (RH) 1.1 $1.2B 22M 55.42
Qualcomm (QCOM) 1.1 $1.2B 1.1B 1.04
Booking Holdings (BKNG) 1.1 $1.2B 41M 28.04
Catalent (CTLT) 1.1 $1.1B 179M 6.36
Goldman Sachs (GS) 1.0 $1.1B 335M 3.20
Eagle Materials (EXP) 1.0 $1.1B 40M 26.97
Servicenow (NOW) 1.0 $1.0B 200M 5.19
Cigna Corp (CI) 1.0 $1.0B 330M 3.06
Nasdaq Omx (NDAQ) 1.0 $1.0B 167M 6.03
Carlisle Companies (CSL) 0.9 $992M 52M 18.98
Charles River Laboratories (CRL) 0.9 $980M 51M 19.41
Linde Shares SHS 0.9 $979M 508M 1.93
Tfii Cn (TFII) 0.9 $965M 92M 10.47
Tractor Supply Company (TSCO) 0.9 $954M 114M 8.39
Bank of New York Mellon Corporation (BK) 0.9 $953M 804M 1.18
Chemed Corp Com Stk (CHE) 0.9 $952M 15M 61.85
ON Semiconductor (ON) 0.9 $951M 431M 2.21
Intercontinental Exchange (ICE) 0.9 $930M 562M 1.66
Analog Devices (ADI) 0.9 $914M 526M 1.74
Adobe Systems Incorporated (ADBE) 0.9 $907M 472M 1.92
Bank of America Corporation (BAC) 0.8 $890M 8.1B 0.11
Abbott Laboratories (ABT) 0.8 $873M 1.8B 0.49
General Motors Company (GM) 0.8 $868M 1.5B 0.60
Crown Holdings (CCK) 0.8 $863M 128M 6.75
BlackRock (BLK) 0.8 $861M 152M 5.66
Danaher Corporation (DHR) 0.8 $855M 715M 1.20
Generac Holdings (GNRC) 0.8 $845M 63M 13.39
NVR (NVR) 0.8 $827M 3.4M 239.95
Molina Healthcare (MOH) 0.8 $827M 58M 14.26
Ferguson SHS 0.8 $813M 219M 3.71
Chubb (CB) 0.8 $812M 431M 1.88
S&p Global (SPGI) 0.8 $793M 241M 3.29
Texas Instruments Incorporated (TXN) 0.8 $792M 924M 0.86
Equifax (EFX) 0.7 $761M 122M 6.24
Illumina (ILMN) 0.7 $761M 156M 4.87
Caterpillar (CAT) 0.7 $761M 541M 1.41
Stantec Inc Cad Common Subscription Receipt (STN) 0.7 $753M 111M 6.77
Tyler Technologies (TYL) 0.7 $753M 41M 18.38
Accenture Plc-cl A Class A (ACN) 0.7 $746M 658M 1.13
Visa Inc-Class A Shares Class A (V) 0.7 $737M 1.7B 0.44
Nike (NKE) 0.7 $733M 1.3B 0.57
Lowe's Companies (LOW) 0.7 $724M 674M 1.07
Mastercard Shares A Class A (MA) 0.7 $719M 972M 0.74
Avantor (AVTR) 0.7 $708M 610M 1.16
Mccormick & Co Com Non Vtg (MKC) 0.7 $696M 250M 2.78
Diamondback Energy (FANG) 0.7 $690M 181M 3.81
Watsco, Incorporated (WSO) 0.7 $688M 33M 20.84
Procter & Gamble Company (PG) 0.7 $687M 2.4B 0.29
Iqvia Holdings (IQV) 0.6 $677M 191M 3.54
Pinterest Inc- Class A Class A (PINS) 0.6 $669M 570M 1.17
Builders FirstSource (BLDR) 0.6 $669M 192M 3.49
Quanta Services (PWR) 0.6 $665M 143M 4.67
Aon Shs Cl A (AON) 0.6 $661M 220M 3.00
Workday Inc-Class A Class A (WDAY) 0.6 $656M 193M 3.40
Lennox International (LII) 0.6 $649M 37M 17.71
Travelers Companies (TRV) 0.6 $644M 241M 2.67
Vermilion Energy (VET) 0.6 $636M 162M 3.92
Uber Technologies (UBER) 0.6 $587M 1.9B 0.30
Amphenol Corp-Cl A Class A (APH) 0.5 $577M 599M 0.96
Air Products & Chemicals (APD) 0.5 $548M 222M 2.47
Black Knight 0.5 $530M 155M 3.42
Costco Wholesale Corporation (COST) 0.5 $522M 443M 1.18
3M Company (MMM) 0.5 $497M 571M 0.87
Power Integrations (POWI) 0.5 $483M 59M 8.16
CF Industries Holdings (CF) 0.5 $481M 215M 2.24
Teradyne (TER) 0.4 $458M 163M 2.81
Deckers Outdoor Corporation (DECK) 0.4 $440M 27M 16.13
MKS Instruments (MKSI) 0.4 $418M 56M 7.54
Pepsi (PEP) 0.4 $417M 1.4B 0.30
Steris Shs Usd (STE) 0.4 $390M 100M 3.90
Verisk Analytics Class A (VRSK) 0.4 $385M 161M 2.39
Chart Industries (GTLS) 0.4 $383M 36M 10.52
AutoNation (AN) 0.4 $374M 66M 5.71
Synopsys (SNPS) 0.4 $369M 153M 2.40
American Tower Reit (AMT) 0.3 $351M 455M 0.77
JPMorgan Chase & Co. (JPM) 0.3 $348M 3.0B 0.12
Otis Worldwide Corp (OTIS) 0.3 $348M 425M 0.82
Waste Connections (WCN) 0.3 $345M 261M 1.32
Palo Alto Networks (PANW) 0.3 $334M 99M 3.39
United Rentals (URI) 0.3 $332M 72M 4.59
Home Depot (HD) 0.3 $332M 1.0B 0.32
Ansys (ANSS) 0.3 $321M 87M 3.68
Trimble Navigation (TRMB) 0.3 $314M 251M 1.25
Clorox Company (CLX) 0.3 $314M 123M 2.55
Moody's Corporation (MCO) 0.3 $312M 186M 1.68
Digital Turbine (APPS) 0.3 $296M 97M 3.05
Estee Lauder Companies-Cl A Class A (EL) 0.3 $296M 232M 1.27
Teledyne Technologies Incorporated (TDY) 0.3 $280M 47M 5.99
Lgi Homes (LGIH) 0.3 $278M 24M 11.45
AC Immune SA SHS (ACIU) 0.2 $218M 80M 2.73
BioNTech SE Sponsored American Depositary Shares Adr (BNTX) 0.2 $204M 243M 0.84
Tw Us Class A (TW) 0.2 $200M 105M 1.90
Sherwin-Williams Company (SHW) 0.1 $155M 262M 0.59
Aurora Innovation Class A Com (AUR) 0.1 $113M 643M 0.18
Brookfield Asset Management Reinsurance Partners Cl A Exch Lt Vtg 0.0 $3.7M 11M 0.34