Trade Filings
Gestori Titoli Depositi Superinvestor
Segnali Acquisti istituzionali Vendite istituzionali Attività insider 13D & 13G Watch Rotazione settoriale
Strumenti Screener azionario Screener gestori Confronta gestori Consensus Baskets Tutti gli strumenti di ricerca API dati
Approfondimenti & AI Approfondire Chiedi ai dati Agenti AI
Notizie ★ Salvato
Informazioni Chi siamo Metodologia Contatti Disclaimer
Reader
PIANI DATI

Download di dati storici — disponibili con gli account.

API GATEWAY

Accesso JSON in sola lettura ai dati in cache del sito.

Modalità scura

🧭 Vista guidata
Nuovo sui mercati — prezzi, rendimenti, YTD, capitalizzazione di mercato? Spieghiamo ogni termine durante la navigazione, in linguaggio chiaro. Gli stessi dati, con il supporto integrato.

⚡ Parere esperto
Conosci già il mercato. Solo i dati — puliti, veloci e compatti, senza spiegazioni aggiuntive. Questa è la visualizzazione predefinita.

Lingua dell'interfaccia
Scheda del gestore

State Farm Mutual Automobile Insurance Co

Bloomington, IL · CIK 315032 · Depositi EDGAR ↗

Q2 2026 Q1 2026 Q4 2025 Diff ⇄
$146.14BValore 13F dichiarato
188Posizioni
49.6%Peso top-10
26.50Partecipazioni effettive
3.6%Turnover est.
+3Nuovo
−9Uscite

Il valore del portafoglio 13F dichiarato comprende solo le posizioni lunghe statunitensi soggette a obbligo di dichiarazione — esclusi liquidità, obbligazioni, posizioni corte e partecipazioni non statunitensi. Non corrisponde agli asset in gestione.

Valore dichiarato per trimestre Q4 2025 → Q2 2026
Esposizione settoriale
Tecnologia 21.5% (+3.8pp)
Sanità 21.4% (-1.1pp)
Industria 21.0% (+1.9pp)
Beni di consumo difensivi 9.9% (-1.6pp)
Materiali di base 9.7% (-0.2pp)
Servizi finanziari 5.6% (-0.2pp)
Servizi di comunicazione 5.4% (-0.4pp)
Energia 4.8% (-2.1pp)
Beni di consumo ciclici 0.4% (+0.0pp)
Utility 0.3% (-0.1pp)

Quota del valore comune dichiarato; (±pp) rispetto al trimestre precedente.

Il portafoglio · Q2 2026
#Strumento finanziarioPesoValoreQuoteΔ azioniDetenuto
1 CAT Caterpillar Inc. 10.6% $11.11B 10.43M -0.4% ▼ Trim 3+
2 LLY Eli Lilly and Company 8.8% $8.85B 7.38M 0.0% Held 3+
3 JNJ Johnson & Johnson 5.5% $5.54B 21.83M 0.0% Held 3+
4 ITW Illinois Tool Works Inc. 3.9% $4.48B 16.56M 0.0% Held 3+
5 CAT Caterpillar Inc. 10.6% $4.34B 4.08M -0.4% ▼ Trim 3+
6 NUE Nucor Corporation 3.7% $4.29B 19.25M 0.0% Held 3+
7 LLY Eli Lilly and Company 8.8% $4.05B 3.38M 0.0% Held 3+
8 KLAC KLA Corporation 2.9% $3.77B 12.48M -0.5% ▼ Trim 3+
9 AAPL Apple Inc. 4.6% $3.73B 12.91M -0.6% ▼ Trim 3+
10 INTC Intel Corp. 2.3% $3.12B 22.33M -9.5% ▼ Trim 3+
11 ASML ASML Holding N.V. 3.8% $3.05B 1.53M 0.0% Held 3+
12 AAPL Apple Inc. 4.6% $3.03B 10.46M -0.6% ▼ Trim 3+
13 XONA.DE Exxon Mobil Corporation 2.9% $2.77B 20.26M 0.0% Held 3+
14 WMT Walmart Inc. 3.0% $2.63B 23.20M 0.0% Held 3+
15 ADM Archer-Daniels-Midland… 2.4% $2.59B 33.88M 0.0% Held 3+
16 GLW Corning Inc 2.3% $2.55B 10.00M -1.4% ▼ Trim 3+
17 JNJ Johnson & Johnson 5.5% $2.48B 9.76M 0.0% Held 3+
18 ASML ASML Holding N.V. 3.8% $2.44B 1.23M 0.0% Held 3+
19 GOOGL Alphabet Inc. 2.6% $2.42B 6.78M 0.0% Held 3+
20 VMC Vulcan Materials Company 1.9% $2.26B 7.67M 0.0% Held 3+
21 MSFT Microsoft Corporation 2.6% $2.18B 5.85M 0.0% Held 3+
22 WFC Wells Fargo & Company 2.2% $2.10B 25.46M 0.0% Held 3+
23 APD Air Products and Chemicals… 2.4% $2.05B 6.99M 0.0% Held 3+
24 WMT Walmart Inc. 3.0% $1.79B 15.80M 0.0% Held 3+
25 PG The Procter & Gamble Company 1.6% $1.72B 11.73M 0.0% Held 3+
26 MSFT Microsoft Corporation 2.6% $1.68B 4.51M 0.0% Held 3+
27 CVX Chevron Corporation 1.5% $1.52B 9.19M 0.0% Held 3+
28 GOOGL Alphabet Inc. 2.6% $1.43B 4.00M 0.0% Held 3+
29 APD Air Products and Chemicals… 2.4% $1.42B 4.85M 0.0% Held 3+
30 XONA.DE Exxon Mobil Corporation 2.9% $1.40B 10.26M 0.0% Held 3+
31 MRK Merck & Co., Inc. 1.2% $1.24B 9.63M 0.0% Held 3+
32 ITW Illinois Tool Works Inc. 3.9% $1.21B 4.47M 0.0% Held 3+
33 WFC Wells Fargo & Company 2.2% $1.18B 14.30M 0.0% Held 3+
34 NUE Nucor Corporation 3.7% $1.10B 4.96M 0.0% Held 3+
35 DIS The Walt Disney Company 1.0% $1.07B 11.17M -4.4% ▼ Trim 3+
36 ADM Archer-Daniels-Midland… 2.4% $986.47M 12.91M 0.0% Held 3+
37 KO The Coca-Cola Company 1.0% $934.47M 11.50M 0.0% Held 3+
38 DE Deere & Company 1.2% $922.87M 1.45M 0.0% Held 3+
39 ABBV AbbVie Inc. 1.0% $898.79M 3.57M 0.0% Held 3+
40 ZTS Zoetis Inc. 0.8% $879.73M 12.24M 0.0% Held 3+
41 GE GE Aerospace 1.0% $874.18M 2.34M 0.0% Held 3+
42 ABT Abbott Laboratories 0.8% $873.57M 9.63M 0.0% Held 3+
43 ADT ADT Inc. 0.6% $866.67M 133.33M 0.0% Held 3+
44 DE Deere & Company 1.2% $855.41M 1.35M 0.0% Held 3+
45 PFE Pfizer Inc. 0.9% $845.25M 35.10M 0.0% Held 3+
46 GLW Corning Inc 2.3% $825.11M 3.23M -1.4% ▼ Trim 3+
47 RIO Rio Tinto Group 0.7% $790.78M 8.33M 0.0% Held 3+
48 TXN Texas Instruments… 0.9% $788.06M 2.64M 0.0% Held 3+
49 RNR RenaissanceRe Holdings Ltd. 0.5% $760.34M 2.40M 0.0% Held 3+
50 MMM 3M Company 0.9% $701.46M 4.33M 0.0% Held 3+
51 CVX Chevron Corporation 1.5% $686.22M 4.14M 0.0% Held 3+
52 INTU Intuit Inc. 0.5% $669.96M 2.57M 0.0% Held 3+
53 AMGN Amgen Inc. 0.7% $628.39M 1.74M 0.0% Held 3+
54 HGTY Hagerty, Inc. 0.4% $617.46M 51.80M 0.0% Held 3+
55 ANET Arista Networks, Inc. 0.7% $600.39M 3.53M 0.0% Held 3+
56 PG The Procter & Gamble Company 1.6% $597.05M 4.07M 0.0% Held 3+
57 META Meta Platforms, Inc. 0.7% $588.34M 1.04M 0.0% Held 3+
58 GATX GATX Corporation 0.7% $584.45M 3.30M 0.0% Held 3+
59 ABBV AbbVie Inc. 1.0% $584.08M 2.32M 0.0% Held 3+
60 MMM 3M Company 0.9% $583.14M 3.60M 0.0% Held 3+
61 GE GE Aerospace 1.0% $574.33M 1.54M 0.0% Held 3+
62 VMC Vulcan Materials Company 1.9% $547.73M 1.86M 0.0% Held 3+
63 KO The Coca-Cola Company 1.0% $546.83M 6.73M 0.0% Held 3+
64 MTB M&T Bank Corporation 0.7% $546.26M 2.30M 0.0% Held 3+
65 AMZN Amazon.com, Inc. 0.4% $535.46M 2.25M 0.0% Held 3+
66 MRK Merck & Co., Inc. 1.2% $535.20M 4.16M 0.0% Held 3+
67 DCI Donaldson Company, Inc. 0.6% $531.05M 5.92M 0.0% Held 3+
68 TXN Texas Instruments… 0.9% $524.28M 1.76M 0.0% Held 3+
69 NTRS Northern Trust Corporation 0.5% $509.82M 2.93M 0.0% Held 3+
70 EMR Emerson Electric Co. 0.6% $488.26M 3.41M 0.0% Held 3+
71 ADP Automatic Data Processing… 0.6% $487.66M 2.18M 0.0% Held 3+
72 META Meta Platforms, Inc. 0.7% $487.26M 865.02K 0.0% Held 3+
73 PFE Pfizer Inc. 0.9% $467.32M 19.41M 0.0% Held 3+
74 MKC McCormick & Company… 0.6% $464.09M 9.20M 0.0% Held 3+
75 ATR AptarGroup, Inc. 0.4% $458.64M 3.66M 0.0% Held 3+
76 KLAC KLA Corporation 2.9% $448.19M 1.49M -0.5% ▼ Trim 3+
77 MTB M&T Bank Corporation 0.7% $434.96M 1.83M 0.0% Held 3+
78 UNP Union Pacific Corporation 0.6% $414.38M 1.52M 0.0% Held 3+
79 UNP Union Pacific Corporation 0.6% $406.52M 1.49M 0.0% Held 3+
80 CL Colgate-Palmolive Company 0.4% $380.56M 4.15M 0.0% Held 3+
81 GATX GATX Corporation 0.7% $377.22M 2.13M 0.0% Held 3+
82 VOO Vanguard S&P 500 ETF 0.3% $369.84M 538.49K +35.7% ▲ Add 3+
83 MKC McCormick & Company… 0.6% $368.98M 7.32M 0.0% Held 3+
84 A Agilent Technologies, Inc. 0.3% $367.74M 2.77M 0.0% Held 3+
85 ABT Abbott Laboratories 0.8% $359.32M 3.96M 0.0% Held 3+
86 AMGN Amgen Inc. 0.7% $355.01M 980.36K 0.0% Held 3+
87 ANET Arista Networks, Inc. 0.7% $354.21M 2.09M 0.0% Held 3+
88 EMR Emerson Electric Co. 0.6% $347.58M 2.43M 0.0% Held 3+
89 ADP Automatic Data Processing… 0.6% $331.39M 1.48M 0.0% Held 3+
90 CTVA Corteva, Inc. 0.4% $331.26M 3.91M 0.0% Held 3+
91 GOOG Alphabet Inc. 0.4% $318.14M 900.42K 0.0% Held 3+
92 DIS The Walt Disney Company 1.0% $316.74M 3.29M -4.4% ▼ Trim 3+
93 CTVA Corteva, Inc. 0.4% $315.32M 3.72M 0.0% Held 3+
94 PEP PepsiCo, Inc. 0.4% $302.02M 2.23M 0.0% Held 3+
95 DCI Donaldson Company, Inc. 0.6% $289.69M 3.23M 0.0% Held 3+
96 GOOG Alphabet Inc. 0.4% $276.44M 782.39K 0.0% Held 3+
97 VZ Verizon Communications Inc. 0.3% $274.05M 6.47M 0.0% Held 3+
98 ZTS Zoetis Inc. 0.8% $262.33M 3.65M 0.0% Held 3+
99 PEP PepsiCo, Inc. 0.4% $261.31M 1.93M 0.0% Held 3+
100 V Visa Inc. 0.3% $260.79M 760.13K 0.0% Held 3+
101 T AT&T Inc. 0.3% $260.08M 12.56M 0.0% Held 3+
102 HP Helmerich & Payne, Inc. 0.2% $256.73M 7.84M 0.0% Held 3+
103 DVN Devon Energy Corporation 0.2% $254.79M 6.17M Nuovo New 1
104 MDT Medtronic plc 0.2% $250.34M 3.20M 0.0% Held 3+
105 RIO Rio Tinto Group 0.7% $246.98M 2.60M 0.0% Held 3+
106 INTC Intel Corp. 2.3% $241.25M 1.73M -9.5% ▼ Trim 3+
107 T AT&T Inc. 0.3% $239.76M 11.58M 0.0% Held 3+
108 CL Colgate-Palmolive Company 0.4% $236.50M 2.58M 0.0% Held 3+
109 DUK Duke Energy Corporation 0.3% $228.71M 1.81M 0.0% Held 3+
110 SYY Sysco Corporation 0.2% $223.72M 2.68M 0.0% Held 3+
111 DUK Duke Energy Corporation 0.3% $223.10M 1.76M 0.0% Held 3+
112 USB U.S. Bancorp 0.3% $221.35M 3.66M 0.0% Held 3+
113 UL Unilever PLC 0.3% $211.53M 3.52M +0.8% ▲ Add 3+
114 NTRS Northern Trust Corporation 0.5% $210.76M 1.21M 0.0% Held 3+
115 NVO Novo Nordisk A/S 0.2% $199.10M 4.15M 0.0% Held 3+
116 GWW W.W. Grainger, Inc. 0.2% $179.26M 131.77K +25.9% ▲ Add 3+
117 IFF International Flavors &… 0.2% $177.93M 2.25M 0.0% Held 3+
118 LRCX Lam Research Corporation 0.1% $175.03M 403.93K 0.0% Held 3+
119 USB U.S. Bancorp 0.3% $172.18M 2.85M 0.0% Held 3+
120 SPDW State Street SPDR Portfolio… 0.1% $162.09M 3.22M +36.7% ▲ Add 2
121 UL Unilever PLC 0.3% $159.65M 2.66M +0.8% ▲ Add 3+
122 A Agilent Technologies, Inc. 0.3% $140.38M 1.06M 0.0% Held 3+
123 VZ Verizon Communications Inc. 0.3% $137.08M 3.24M 0.0% Held 3+
124 V Visa Inc. 0.3% $136.75M 398.58K 0.0% Held 3+
125 ATR AptarGroup, Inc. 0.4% $135.38M 1.08M 0.0% Held 3+
126 FAST Fastenal Company 0.1% $131.17M 2.73M +59.4% ▲ Add 3+
127 INTU Intuit Inc. 0.5% $128.31M 491.63K 0.0% Held 3+
128 VCIT Vanguard Intermediate-Term… 0.1% $126.45M 1.53M 0.0% Held 3+
129 IFF International Flavors &… 0.2% $124.80M 1.58M 0.0% Held 3+
130 BAX Baxter International Inc. 0.1% $117.61M 5.52M 0.0% Held 3+
131 ECL Ecolab Inc. 0.1% $114.07M 409.43K 0.0% Held 3+
132 WST West Pharmaceutical… 0.1% $112.13M 312.33K +27.6% ▲ Add 3+
133 GOVT iShares U.S. Treasury Bond… 0.1% $111.67M 4.90M +45.5% ▲ Add 3+
134 GWW W.W. Grainger, Inc. 0.2% $109.23M 80.30K +25.9% ▲ Add 3+
135 SHEL Shell plc 0.1% $107.95M 1.39M 0.0% Held 3+
136 BHP BHP Group Limited 0.1% $106.39M 1.28M 0.0% Held 3+
137 CTAS Cintas Corporation 0.1% $105.41M 619.75K +57.6% ▲ Add 3+
138 NVO Novo Nordisk A/S 0.2% $95.39M 1.99M 0.0% Held 3+
139 ECL Ecolab Inc. 0.1% $93.66M 336.15K 0.0% Held 3+
140 SOLV Solventum Corporation 0.1% $87.99M 1.14M 0.0% Held 3+
141 APH Amphenol Corporation 0.1% $87.86M 498.28K -25.4% ▼ Trim 3+
142 BDX Becton, Dickinson and… 0.1% $86.13M 569.16K +36.1% ▲ Add 3+
143 DOW Dow Inc. 0.1% $85.68M 3.13M 0.0% Held 3+
144 FAST Fastenal Company 0.1% $85.30M 1.78M +59.4% ▲ Add 3+
145 ADBE Adobe Inc. 0.1% $73.72M 359.60K 0.0% Held 3+
146 SOLV Solventum Corporation 0.1% $71.65M 928.75K 0.0% Held 3+
147 HNI HNI Corporation 0.1% $71.19M 1.76M 0.0% Held 3+
148 WST West Pharmaceutical… 0.1% $65.70M 183.00K +27.6% ▲ Add 3+
149 SYY Sysco Corporation 0.2% $64.08M 766.70K 0.0% Held 3+
150 CTAS Cintas Corporation 0.1% $59.20M 348.10K +57.6% ▲ Add 3+
151 VTV Vanguard Morningstar Value… 0.0% $58.36M 267.81K +32.2% ▲ Add 2
152 WAT Waters Corporation 0.0% $51.59M 137.56K 0.0% Held 3+
153 GEHC GE HealthCare Technologies… 0.1% $50.76M 792.95K 0.0% Held 3+
154 SCHA Schwab U.S. Small-Cap ETF 0.0% $47.44M 1.31M +33.3% ▲ Add 3+
155 HNI HNI Corporation 0.1% $47.01M 1.16M 0.0% Held 3+
156 DOW Dow Inc. 0.1% $46.09M 1.68M 0.0% Held 3+
157 MTD Mettler-Toledo… 0.0% $41.72M 32.66K 0.0% Held 3+
158 AMD Advanced Micro Devices, Inc. 0.0% $38.40M 66.10K 0.0% Held 3+
159 IGIB iShares 5-10 Year… 0.0% $36.16M 680.00K 0.0% Held 3+
160 SHEL Shell plc 0.1% $36.12M 465.84K 0.0% Held 3+
161 GEHC GE HealthCare Technologies… 0.1% $34.32M 536.20K 0.0% Held 3+
162 MDT Medtronic plc 0.2% $33.02M 422.14K 0.0% Held 3+
163 VYMI Vanguard International High… 0.0% $32.29M 328.77K +29.2% ▲ Add 3+
164 USIG iShares Broad USD… 0.0% $28.03M 546.40K +47.7% ▲ Add 3+
165 VTEB Vanguard Tax-Exempt Bond ETF 0.0% $26.31M 520.22K +42.0% ▲ Add 3+
166 IEMG iShares Core MSCI Emerging… 0.0% $26.25M 316.82K +23.5% ▲ Add 3+
167 DVN Devon Energy Corporation 0.2% $25.95M 628.08K Nuovo New 1
168 APH Amphenol Corporation 0.1% $22.32M 126.59K -25.4% ▼ Trim 3+
169 LRCX Lam Research Corporation 0.1% $22.29M 51.43K 0.0% Held 3+
170 WAT Waters Corporation 0.0% $19.62M 52.32K 0.0% Held 3+
171 BDX Becton, Dickinson and… 0.1% $18.56M 122.64K +36.1% ▲ Add 3+
172 TIDAL TRUST I (non mappato) $15.25M 771.00K
173 BAX Baxter International Inc. 0.1% $15.11M 708.82K 0.0% Held 3+
174 TLH iShares 10-20 Year Treasury… 0.0% $12.51M 124.70K +49.4% ▲ Add 3+
175 SCHP Schwab US TIPS ETF 0.0% $11.48M 433.06K +46.7% ▲ Add 3+
176 FLOT iShares Floating Rate Bond… 0.0% $11.37M 222.76K +47.8% ▲ Add 3+
177 MTD Mettler-Toledo… 0.0% $11.27M 8.82K 0.0% Held 3+
178 WDS Woodside Energy Group Ltd 0.0% $8.92M 461.54K 0.0% Held 3+
179 BHP BHP Group Limited 0.1% $5.98M 71.84K 0.0% Held 3+
180 USHY iShares Broad USD High… 0.0% $4.84M 130.82K +4.6% ▲ Add 3+
181 AMAT Applied Materials, Inc. 0.0% $4.34M 6.00K 0.0% Held 3+
182 EMB iShares J.P. Morgan USD… 0.0% $3.89M 40.38K +40.6% ▲ Add 3+
183 ADBE Adobe Inc. 0.1% $3.71M 18.11K 0.0% Held 3+
184 VCIT Vanguard Intermediate-Term… 0.1% $991,800 12.00K 0.0% Held 3+
185 WDS Woodside Energy Group Ltd 0.0% $501,567 25.96K 0.0% Held 3+
186 PGX Invesco Preferred ETF 0.0% $363,780 33.56K +1.5% ▲ Add 3+
187 VWO Vanguard FTSE Emerging… 0.0% $38,331 642 Nuovo New 1
188 VYM Vanguard High Dividend… 0.0% $11,694 74 Nuovo New 1

Solo posizioni in azioni ordinarie (SH); le righe di opzioni si trovano nella scheda Opzioni e non vengono mai compensate. ✂ = variazione calcolata rispetto alle azioni precedenti rettificate per split. "Held N+" = detenuto ogni trimestre nella nostra finestra temporale, possibilmente anche oltre.

Età della posizione
30–1 trimestri
1032–4 trimestri

Trimestri consecutivi in cui ciascuna posizione corrente è stata segnalata, nella nostra finestra di dati.

Gestori simili
GestorePosizioni comuniSovrapposizione di nomiSimilarità ponderata
Pnc Financial Services Group, Inc. 105 2.3% 0.4964 Confronta ⇄
Fisher Asset Management 88 8.4% 0.4726 Confronta ⇄
Bank Julius Baer & Co. Ltd, Zurich 75 10.8% 0.4492 Confronta ⇄
Fifth Third Bancorp 105 2.6% 0.4461 Confronta ⇄
Dimensional Fund Advisors Lp 87 2.8% 0.4129 Confronta ⇄
Wellington Management 82 4.5% 0.3962 Confronta ⇄
Grantham, Mayo, Van Otterloo & Co. LLC 63 9.0% 0.3764 Confronta ⇄
Aberdeen Group plc 77 8.1% 0.3665 Confronta ⇄

Similarità basata esclusivamente sulle posizioni lunghe dichiarate — le coperture e gli asset non soggetti a 13F non sono visibili. Metodologia

Registro dei depositi
Aug 12 2026 13F-HR · periodo Q2 2026

$146.14B · 188 posizioni · Visualizza la dichiarazione SEC originale ↗

May 13 2026 13F-HR · periodo Q1 2026

$126.86B · 197 posizioni · Visualizza la dichiarazione SEC originale ↗

Feb 11 2026 13F-HR · periodo Q4 2025

$127.33B · 200 posizioni · Visualizza la dichiarazione SEC originale ↗

Nov 12 2025 13F-HR · periodo Q3 2025

$119.95B · 199 posizioni · Visualizza la dichiarazione SEC originale ↗

Aug 12 2025 13F-HR · periodo Q2 2025

$113.08B · 207 posizioni · Visualizza la dichiarazione SEC originale ↗

Provenienza: Tutte le posizioni analizzate dalle tabelle informative 13F di questo gestore su SEC EDGAR; valori come riportati, USD interi. Le variazioni confrontano l'ultima versione accettata di ciascun trimestre (emendamenti incorporati) sui conteggi di azioni rettificati per i frazionamenti. Periodo di rendicontazione: Q2 2026 · ultimo filing Aug 12, 2026 · Metodologia di calcolo