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STOCK TICKER:

MAJOR GURUS:
David Einhorn
Bill Ackman
Bill Miller
Steven Cohen
Jim Simons

OSTRUM ASSET MANAGEMENT INSTITUTION : OSTRUM ASSET MANAGEMENT
OSTRUM ASSET MANAGEMENT Portfolio (reported on 2020-08-13)
Company (links to holding history) Ticker Value On
2020-06-30
No of Shares % of portfolio
ALIBABA GROUP HOLDING LTD    (American Depository Receipt) BABA 27,545,000 127,700 16.38%
WALMART INC    (Common Stock) WMT 19,165,000 160,000 11.39%
TAIWAN SEMICONDUCTOR MFG CO.    (American Depository Receipt) TSM 14,181,000 250,630 8.43%
MERCADOLIBRE INC    (Common Stock) MELI 9,551,000 9,689 5.68%
MICROSOFT CORP.    (Common Stock) MSFT 5,907,000 29,025 3.51%
PAYPAL HOLDINGS INC    (Common Stock) PYPL 4,905,000 28,150 2.91%
SALESFORCE.COM INC    (Common Stock) CRM 4,687,000 25,020 2.78%
LAM RESEARCH CORP.    (Common Stock) LRCX 4,108,000 12,700 2.44%
ALPHABET INC    (Common Stock) GOOGL 4,056,000 2,860 2.41%
ADOBE SYSTEMS INC.    (Common Stock) ADBE 3,966,000 9,110 2.35%
VERTEX PHARMACEUTICALS INC.    (Common Stock) VRTX 3,598,000 12,395 2.14%
MONDELEZ INTERNATIONAL INC    (Common Stock) MDLZ 3,426,000 67,000 2.03%
NIKE INC.    (Common Stock) NKE 3,422,000 34,900 2.03%
APPLE INC.    (Common Stock) AAPL 3,192,000 8,750 1.89%
SYNOPSYS INC.    (Common Stock) SNPS 3,062,000 15,700 1.82%
FACEBOOK INC    (Common Stock) FB 2,884,000 12,700 1.71%
ACTIVISION BLIZZARD INC.    (Common Stock) ATVI 2,740,000 36,100 1.62%
ELECTRONIC ARTS    (Common Stock) ERTS 2,720,000 20,600 1.61%
VISA INC.    (Common Stock) V 2,308,000 11,950 1.37%
AMAZON COM INC.    (Common Stock) AMZN 2,304,000 835 1.37%
SERVICENOW INC    (Common Stock) NOW 2,244,000 5,540 1.33%
ANHEUSER-BUSCH INBEV SA/NV    (American Depository Receipt) BUD 2,011,000 40,800 1.19%
COSTCO WHOLESALE CORP.    (Common Stock) COST 1,910,000 6,300 1.13%
YUM CHINA HOLDINGS INC    (Common Stock) 1,851,000 38,500 1.10%
ESTEE LAUDER COS INC    (Common Stock) EL 1,736,000 9,200 1.03%
NVIDIA CORP.    (Common Stock) NVDA 1,634,000 4,300 0.97%
AUTODESK INC.    (Common Stock) ADSK 1,603,000 6,700 0.95%
SOUTHWEST AIRLINES CO.    (Convertible Bond) 1,562,000 1,300 0.92%
BIOMARIN PHARMACEUTICAL INC.    (Common Stock) BMRN 1,418,000 11,500 0.84%
MICROCHIP TECHNOLOGY INC.    (Convertible Bond) 1,335,000 900 0.79%
SPLUNK INC    (Convertible Bond) 1,294,000 900 0.76%
WORKDAY INC-CLASS A    (Convertible Bond) 1,243,000 900 0.73%
PALO ALTO NETWORKS INC.    (Convertible Bond) 1,132,000 1,050 0.67%
AKAMAI TECHNOLOGIES INC.    (Convertible Bond) 1,061,000 850 0.63%
SQUARE INC    (Convertible Bond) 1,056,000 710 0.62%
STARBUCKS CORP.    (Common Stock) SBUX 1,045,000 14,200 0.62%
CHEGG INC    (Convertible Bond) 995,000 700 0.59%
MICROCHIP TECHNOLOGY INC.    (Convertible Bond) 925,000 630 0.55%
SPLUNK INC    (Convertible Bond) 884,000 600 0.52%
MC CORMICK AND CO.INC.    (Common Stock) MKC 825,000 4,600 0.49%
EXACT SCIENCES CORP.    (Convertible Bond) 769,000 800 0.45%
VF CORP.    (Common Stock) VFC 762,000 12,500 0.45%
ON SEMICONDUCTOR CORP.    (Convertible Bond) 757,000 620 0.45%
IQIYI INC    (Convertible Bond) 751,000 750 0.44%
ZYNGA INC    (Convertible Bond) 707,000 550 0.42%
LIBERTY MEDIA CORP    (Convertible Bond) 667,000 630 0.39%
YY INC    (Convertible Bond) 646,000 580 0.38%
TWITTER INC    (Convertible Bond) 632,000 670 0.37%
ZENDESK INC    (Convertible Bond) 554,000 370 0.32%
IQIYI INC    (Convertible Bond) 529,000 480 0.31%
ILLUMINA INC.    (Convertible Bond) 500,000 460 0.29%
ON SEMICONDUCTOR CORP.    (Convertible Bond) 476,000 407 0.28%
NUANCE COMMUNICATIONS INC.    (Convertible Bond) 473,000 400 0.28%
ZILLOW GROUP INC    (Convertible Bond) 470,000 400 0.27%
SYNAPTICS INC.    (Convertible Bond) 373,000 350 0.22%
BIOMARIN PHARMACEUTICAL INC.    (Convertible Bond) 370,000 300 0.22%
WAYFAIR INC    (Convertible Bond) 358,000 200 0.21%
EXACT SCIENCES CORP.    (Convertible Bond) 354,000 340 0.21%
HERBALIFE LTD    (Convertible Bond) 348,000 350 0.20%
NUVASIVE INC.    (Convertible Bond) 332,000 300 0.19%
EURONET WORLDWIDE INC.    (Convertible Bond) 319,000 330 0.18%
FIREEYE INC    (Convertible Bond) 318,000 350 0.18%
NEW RELIC INC    (Convertible Bond) 292,000 300 0.17%
ADVANCED MICRO DEVICES INC.    (Convertible Bond) 261,000 40 0.15%
FORTIVE CORP    (Convertible Bond) 246,000 250 0.14%
LIVE NATION INC.    (Convertible Bond) 206,000 200 0.12%
LIBERTY MEDIA GROUP    (Convertible Bond) 165,000 150 0.09%
Total Value As 2020-06-30: 168,126,000 SEC FILING
* Portfolios do not reflect changes after reporting
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