NORGES BANK — 13F Holdings & Portfolio

CIK 1374170 · latest 13F-HR filed 2026-08-12

NORGES BANK manages $1.00T in 13F-reported U.S. long-equity assets across 1,617 reported positions as of its 2026-06-30 13F-HR filing. Its largest disclosed positions are NVDA (6.50%), AAPL (5.50%), MSFT (3.82%). Quarter over quarter (versus its 2026-03-31 filing) the fund opened 1,617 new positions, exited 1, added to 0, and trimmed 0.

AUM is the long-equity portion reported on Form 13F-HR. Excludes short positions, cash, foreign holdings, and non-13F assets. For informational purposes only — not investment advice.

Filer Information
Address
BANKPLASSEN 2
P.O BOX 1179 SENTRUM
OSLO 0107
Phone
(472) 407-3000
Filing Manager
NORGES BANK
OSLO, Q8
Signatory
Stanislav Boiadjiev
Lead Regulatory Compliance Advisor
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AUM

$1.00T

Long-equity book

Holdings

1,617

Distinct positions

Period

2026-06-30

Filed 2026-08-12

Q/Q Activity

+1617 / −1 / ↑0 / ↓0

vs 2026-03-31

Firm Profile & Key People
Name Title / Status Ownership Type

Top Adds (vs prior quarter)

  • No increased positions.
Show all 0 →

Top Trims

  • No decreased positions.
Show all 0 →

New Positions

  • NVIDIA CORPORATION$65.22B
  • APPLE INC$55.19B
  • MICROSOFT CORP$38.32B
  • AMAZON COM INC$33.50B
  • ALPHABET INC$28.92B
Show all 1617 →

Exited Positions

  • NA$0
Show all 1 →
All Holdings

Rows tagged Call or Put are options positions, not stock. Per SEC Form 13F-HR, Value shows the notional value of the underlying (shares covered × underlying price), not the option premium. Shares is the number of underlying shares covered (divide by 100 for contract count).

# Issuer Symbol CUSIP Value Weight Shares Type
1 NVIDIA CORPORATION NVDA 67066G104 $65.22B 6.50% 325,951,734 SH
2 APPLE INC AAPL 037833100 $55.19B 5.50% 190,726,866 SH
3 MICROSOFT CORP MSFT 594918104 $38.32B 3.82% 102,732,956 SH
4 AMAZON COM INC AMZN 023135106 $33.50B 3.34% 140,565,601 SH
5 ALPHABET INC GOOGL 02079K305 $28.92B 2.88% 80,931,418 SH
6 ALPHABET INC GOOG 02079K107 $26.43B 2.63% 74,788,768 SH
7 BROADCOM INC AVGO 11135F101 $24.92B 2.48% 65,970,988 SH
8 META PLATFORMS INC META 30303M102 $18.43B 1.84% 32,726,903 SH
9 MICRON TECHNOLOGY INC MU 595112103 $17.52B 1.75% 15,180,843 SH
10 TESLA INC TSLA 88160R101 $16.32B 1.63% 38,812,422 SH
11 ELI LILLY & CO LLY 532457108 $13.76B 1.37% 11,471,413 SH
12 ADVANCED MICRO DEVICES INC AMD 007903107 $13.57B 1.35% 23,361,170 SH
13 JPMORGAN CHASE & CO JPM 46625H100 $11.82B 1.18% 36,122,327 SH
14 INTEL CORP INTC 458140100 $8.62B 0.86% 61,714,672 SH
15 EXXON MOBIL CORP XOM 30231G102 $8.34B 0.83% 60,999,693 SH
16 APPLIED MATLS INC AMAT 038222105 $8.17B 0.81% 11,305,788 SH
17 JOHNSON & JOHNSON JNJ 478160104 $8.08B 0.81% 31,825,084 SH
18 LAM RESEARCH CORP LRCX 512807306 $7.85B 0.78% 18,123,399 SH
19 BERKSHIRE HATHAWAY INC DEL BRK.A 084670108 $7.77B 0.77% 10,371 SH
20 WALMART INC WMT 931142103 $6.50B 0.65% 57,423,929 SH
21 CISCO SYS INC CSCO 17275R102 $6.44B 0.64% 54,835,694 SH
22 ABBVIE INC ABBV 00287Y109 $6.43B 0.64% 25,554,538 SH
23 ASTRAZENECA PLC AZN G0593M107 $6.33B 0.63% 33,864,172 SH
24 COSTCO WHOLESALE CORPORATION COST 22160K105 $6.06B 0.60% 6,474,767 SH
25 MASTERCARD INCORPORATED MA 57636Q104 $6.04B 0.60% 11,753,770 SH
26 KLA CORP KLAC 482480100 $5.90B 0.59% 19,565,355 SH
27 VISA INC V 92826C839 $5.56B 0.55% 16,215,161 SH
28 UNITEDHEALTH GROUP INC UNH 91324P102 $5.29B 0.53% 12,736,973 SH
29 GE AEROSPACE GE 369604301 $5.12B 0.51% 13,691,596 SH
30 BANK OF AMER CORP BAC 060505104 $4.77B 0.48% 83,794,863 SH
31 MERCK & CO INC MRK 58933Y105 $4.75B 0.47% 36,983,784 SH
32 UBS GROUP AG UBS H42097107 $4.75B 0.47% 95,849,980 SH
33 HOME DEPOT INC HD 437076102 $4.72B 0.47% 13,383,376 SH
34 SANDISK CORP SNDK 80004C200 $4.67B 0.47% 2,055,094 SH
35 PROCTER & GAMBLE CO PG 742718109 $4.67B 0.47% 31,831,692 SH
36 WELLS FARGO & CO WFC 949746101 $4.59B 0.46% 55,487,578 SH
37 BERKSHIRE HATHAWAY INC DEL BRK.B 084670702 $4.40B 0.44% 8,785,259 SH
38 MARVELL TECHNOLOGY INC MRVL 573874104 $4.23B 0.42% 14,201,483 SH
39 COCA COLA CO KO 191216100 $4.23B 0.42% 52,025,304 SH
40 NETFLIX INC. NFLX 64110L106 $4.14B 0.41% 57,951,405 SH
41 WELLTOWER INC WELL 95040Q104 $4.12B 0.41% 18,146,984 SH
42 ROYAL BK CDA RY 780087102 $4.12B 0.41% 19,905,354 SH
43 GE VERNOVA INC GEV 36828A101 $4.02B 0.40% 3,419,249 SH
44 TEXAS INSTRS INC TXN 882508104 $3.94B 0.39% 13,220,004 SH
45 CHEVRON CORPORATION CVX 166764100 $3.81B 0.38% 22,964,061 SH
46 RTX CORPORATION RTX 75513E101 $3.79B 0.38% 19,952,281 SH
47 MORGAN STANLEY MS 617446448 $3.76B 0.37% 17,984,532 SH
48 ORACLE CORP ORCL 68389X105 $3.66B 0.37% 25,002,553 SH
49 PALANTIR TECHNOLOGIES INC PLTR 69608A108 $3.63B 0.36% 31,076,211 SH
50 DIGITAL RLTY TR INC DLR 253868103 $3.46B 0.35% 19,290,135 SH
Filing History
Period Filed AUM Holdings Accession
2026-06-30 2026-08-12 $1.00T 1,617 0001374170-26-000069
2026-03-31 2026-05-11 $0 1 0001374170-26-000023
2025-12-31 2026-02-10 $934.76B 1,577 0001374170-26-000012
2025-09-30 2025-11-13 $0 1 0001374170-25-000104
2025-03-31 2026-05-11 $712.47B 1,743 0001374170-26-000021