Varma Mutual Pension Insurance Co

13F Portfolio Filings

Latest 13F report
Q2 2024 - Aug 6, 2024
Value $
$12.4B
Signature - Title
Kaj Blomster - Chief Risk Officer
Location
Salmisaarenranta 11, Helsinki, Finland
Holdings Value
Quarter Holdings Value $ Bought Sold Net Top Holdings Form Type Date Filed
Q2 2024 344 $12.4B +$3.39B -$2.34B +$1.05B KLMT, NVDA, IGV, AAPL, MSFT 13F-HR 8/6/2024, 02:06 PM
Q1 2024 354 $11.5B +$6.98B -$4.73B +$2.25B MSFT, EMCR, AAPL, NVDA, AMZN 13F-HR 5/13/2024, 04:23 PM
Q4 2023 278 $8.91B +$3.55B -$3.63B -$85.6M SUSA, EMCR, VFH, IWM, VGT 13F-HR 2/13/2024, 01:39 PM
Q3 2023 227 $8.27B +$1.45B -$1.19B +$258M SUSA, VFH, EMCR, RSP, MSFT 13F-HR 11/9/2023, 08:54 AM
Q2 2023 214 $8.36B +$2.47B -$1.9B +$567M IWM, EMCR, RSP, VGT, MSFT 13F-HR 8/11/2023, 02:51 PM
Q1 2023 214 $8.2B +$2.43B -$1.3B +$1.14B VGT, EMCR, XLF, XLE, MSFT 13F-HR 5/11/2023, 02:13 PM
Q4 2022 230 $7.1B +$1.83B -$522M +$1.31B IEMG, EMCR, VGT, EEM, MSFT 13F-HR 2/13/2023, 01:08 PM
Q3 2022 205 $5.87B +$2.25B -$1.44B +$815M EMCR, MSFT, AAPL, VGT, LCTU 13F-HR 11/14/2022, 08:03 AM
Q2 2022 188 $6.23B +$2.09B -$1.37B +$714M VGT, EMCR, VOO, MSFT, EMB 13F-HR 8/12/2022, 11:48 AM
Q1 2022 205 $8.65B +$4.23B -$755M +$3.48B VOO, EMCR, XOP, IEMG, AAPL 13F-HR 5/16/2022, 01:50 PM
Q4 2021 217 $6.88B +$2.09B -$1.19B +$890M IVV, VOO, VGT, EMCR, LCTU 13F-HR 2/11/2022, 01:00 PM
Q3 2021 224 $6.55B +$2.47B -$2.63B -$157M KBWB, EMCR, KRE, EMB, XLE 13F-HR 11/12/2021, 11:32 AM
Q2 2021 228 $6.76B +$2.32B -$2.82B -$504M QQQ, VGT, EWC, EMB, KRE 13F-HR 8/11/2021, 09:00 AM
Q1 2021 234 $6.91B +$3.4B -$2.35B +$1.05B VOO, IWM, KBWB, EWC, IVE 13F-HR 5/11/2021, 02:29 PM
Q4 2020 200 $5.68B +$3.22B -$1.37B +$1.85B IEMG, EEM, KBWB, AAPL, EMB 13F-HR 2/9/2021, 12:02 PM
Q3 2020 181 $3.56B +$1.4B -$1.99B -$590M QQQ, VOO, AAPL, MSFT, VCIT 13F-HR 11/4/2020, 11:14 AM
Q2 2020 151 $4.25B +$2.36B -$427M +$1.93B VOO, EEM, IEMG, AAPL, MSFT 13F-HR 8/11/2020, 01:36 PM
Q1 2020 88 $3.34B +$1.07B -$1.46B -$390M QQQ, VOO, ASHR, VCIT, HYG 13F-HR 5/11/2020, 01:26 PM
Q4 2019 72 $5.18B +$629M -$2.49B -$1.86B VOO, IVV, QQQ, IEMG, LQD 13F-HR 2/6/2020, 08:16 AM
Q3 2019 68 $6.52B +$2.49B -$977M +$1.51B IVV, VOO, QQQ, LQD, SPY 13F-HR 10/15/2019, 07:02 AM
Q2 2019 64 $5.05B +$1.64B -$2.37B -$725M VOO, IVV, IEMG, LQD, IWM 13F-HR 8/12/2019, 10:00 AM
Q1 2019 56 $5.64B +$4.46B -$362M +$4.1B IVV, VOO, SPY, QQQ, MCHI 13F-HR 5/15/2019, 10:58 AM
Q4 2018 48 $2.11B +$694M -$65.9M +$628M IEMG, MCHI, GOOG, QQQ, AAPL 13F-HR 1/30/2019, 10:45 AM
Q3 2018 90 $3.43B +$676M -$1.71B -$1.04B IVE, IEMG, VOO, AAPL, GOOG 13F-HR 10/15/2018, 01:44 PM
Q2 2018 85 $4.22B +$883M -$2.32B -$1.43B IVV, VOO, KRE, IVE, RSP 13F-HR 8/13/2018, 11:10 AM
Q1 2018 85 $6.62B +$1.51B -$696M +$815M SPY, VOO, IVV, IEMG, KRE 13F-HR 4/20/2018, 12:53 PM
Q4 2017 85 $6.64B SPY, VOO, IVV, LQD, IEMG 13F-HR 3/23/2018, 11:52 AM