Daiwa Securities Group Inc.

13F Portfolio Filings

  • Most recent 13F
    Q1 2025
  • Location
    tokyo, M0
  • CIK
    0001481045
  • All SEC filings
Q1 2025
Quater
Holdings
VALUE
Top Holdings
Form Type
Date Filed
Filing Id

1,279

$23.66M
AAPL, MSFT, NVDA, WELL
13F-HR
May 13, 2025
000148104525000006

1,281

$22.39M
AAPL, NVDA, MSFT, WELL
13F-HR
Feb 7, 2025
000148104525000002

1,280

$21.65M
WELL, AAPL, FQI, MSFT
13F-HR
Nov 12, 2024
000148104524000010

1,322

$18.80M
PLD, WELL, FQI, MSFT
13F-HR
Aug 7, 2024
000148104524000009

1,314

$17.72M
PLD, WELL, SPG, FQI
13F-HR
May 2, 2024
000148104524000004

1,353

$16.08M
PLD, WELL, SPG, FQI
13F-HR
Jan 31, 2024
000148104524000002

1,372

$14.04M
PLD, WELL, SPG, FQI
13F-HR
Nov 1, 2023
000148104523000007

1,438

$15.12M
PLD, WELL, FQI, SPG
13F-HR
Jul 31, 2023
000148104523000006

1,361

$14.38M
PLD, WELL, FQI, O
13F-HR
May 2, 2023
000148104523000004

1,366

$13.02M
PLD, WELL, O, FQI
13F-HR
Feb 6, 2023
000148104523000003

1,452

$12.04B
WELL, PSA, INVH, O
13F-HR
Nov 2, 2022
000148104522000007

1,464

$13.09B
PSA, PLD, WELL, DRE
13F-HR
Aug 9, 2022
000148104522000005

1,464

$15.95B
PSA, PLD, WELL, DRE
13F-HR
Apr 29, 2022
000148104522000004

1,472

$17.00B
PSA, DRE, SPG, PLD
13F-HR
Feb 3, 2022
000148104522000001

1,398

$15.21B
PSA, SPG, DRE, WELL
13F-HR
Nov 5, 2021
000148104521000008

1,322

$14.85B
PSA, EQIX, DRE, SPG
13F-HR
Aug 6, 2021
000148104521000007

1,316

$13.44B
PSA, DRE, SPG, EQIX
13F-HR
May 3, 2021
000148104521000003

1,295

$12.94B
PSA, SPG, DRE, WELL
13F-HR
Feb 4, 2021
000148104521000001

1,223

$11.04B
EQIX, PSA, PLD, WELL
13F-HR
Nov 2, 2020
000148104520000005

1,247

$4.74B
PLD, PSA, FQI, ESS
13F-HR
Aug 11, 2020
000148104520000004

1,253

$9.64B
EQIX, PLD, PSA, UDR
13F-HR
May 14, 2020
000148104520000003

1,235

$12.12B
EQIX, UDR, PLD, WELL
13F-HR
Jan 31, 2020
000148104520000002

1,187

$11.80B
UDR, WELL, EQIX, ESS
13F-HR
Nov 4, 2019
000148104519000008

1,248

$11.32B
EQIX, WELL, UDR, PLD
13F-HR
Jul 24, 2019
000148104519000006

1,214

$11.45B
EQIX, UDR, WELL, ESS
13F-HR
Apr 26, 2019
000148104519000004

1,184

$10.42B
UDR, WELL, ESS, PLD
13F-HR
Feb 5, 2019
000148104519000002

1,200

$11.94B
UDR, ESS, FQI, EQIX
13F-HR
Nov 1, 2018
000148104518000007

1,216

$12.70B
FQI, BXP, 8CW, EQIX
13F-HR
Jul 30, 2018
000148104518000006

1,232

$12.49B
FQI, 8CW, EQIX, UDR
13F-HR
May 2, 2018
000148104518000004

1,010

$14.14B
FQI, SPG, EQIX, UDR
13F-HR
Feb 6, 2018
000148104518000002

992

$14.60B
SPG, FQI, EQIX, UDR
13F-HR
Nov 2, 2017
000148104517000009

1,000

$15.47B
SPG, EQIX, UDR, ESS
13F-HR
Jul 28, 2017
000148104517000007

987

$15.91B
SPG, EQIX, UDR, ESS
13F-HR
May 2, 2017
000148104517000005

1,034

$15.59B
SPG, EQIX, PLD, UDR
13F-HR
Feb 1, 2017
000148104517000003

968

$16.75B
SPG, PLD, EQIX, UDR
RESTATEMENT
Jan 10, 2017
000148104517000001

936

$16.73B
SPG, EQIX, PLD, UDR
13F-HR
Jul 25, 2016
000148104516000020

931

$15.83B
SPG, EQR, PSA, EQIX
13F-HR
May 12, 2016
000148104516000016

959

$15.12B
SPG, EQR, VNO, PSA
13F-HR
Feb 4, 2016
000148104516000014

957

$14.05B
SPG, EQR, VNO, PSA
13F-HR
Nov 10, 2015
000148104515000012

990

$14.07B
SPG, EQR, HEALTH CARE REIT INC, VNO
13F-HR
Aug 5, 2015
000148104515000005

912

$14.95B
SPG, EQR, HEALTH CARE REIT INC, VNO
13F-HR
May 12, 2015
000148104515000003

895

$14.17B
SPG, EQR, VNO, PLD
13F-HR
Feb 13, 2015
000148104515000002

896

$13.20B
SPG, EQR, PLD, VEN
13F-HR
Nov 12, 2014
000148104514000010

904

$13.41B
SPG, PLD, VNO, EQR
NEW HOLDINGS
Aug 13, 2014
000148104514000009

904

$13.41B
SPG, PLD, VNO, EQR
RESTATEMENT
Aug 13, 2014
000148104514000008

911

$12.78B
SPG, EQR, PLD, VNO
RESTATEMENT
May 15, 2014
000148104514000006

901

$12.78B
SPG, EQR, PLD, VNO
RESTATEMENT
May 14, 2014
000148104514000005

902

$11.77B
SPG, VNO, PLD, EQR
13F-HR
Feb 13, 2014
000148900014000006