Ticker coverage is incomplete for this filing.
The SEC filing and reported positions remain visible. Concentration, quarterly moves, sector allocation, fund-quality, rotation, and NAV signals are withheld until ticker links cover at least 50% of positive long positions. Current coverage: 510linked positions across 1577 reported CUSIPs (32%).
The public view is the crawlable proof. The same sourced dataset is available through REST and MCP for agents, research scripts, and back-office tools.
This fund page is the Follow view. The Build view lets your agent pull holdings, quarter changes, overlap, and source filings through API or MCP.
curl -H "Authorization: Bearer YOUR_API_KEY" \ "https://arkolith.com/api/v1/funds/1374170/holdings"
Use Arkolith to show NORGES BANK's latest holdings, largest changes, and filing provenance.
Reported positions remain visible while derived position history is withheld.
| # | Security | Value | Shares | % Port | Last move | History |
|---|---|---|---|---|---|---|
| 1 | Nvidia Corporation COM | $62.2B | 333.75M | 6.7% | Withheld | |
| 2 | Apple Inc COM | $52.3B | 192.26M | 5.6% | Withheld | |
| 3 | Microsoft Corp COM | $50.7B | 104.76M | 5.4% | Withheld | |
| 4 | Amazon Com Inc COM | $32.9B | 142.40M | 3.5% | Withheld | |
| 5 | Alphabet Inc CAP STK CL A | $30.5B | 97.55M | 3.3% | Withheld | |
| 6 | Broadcom Inc COM | $24.3B | 70.07M | 2.6% | Withheld | |
| 7 | Meta Platforms Inc CL A | $22.2B | 33.56M | 2.4% | Withheld | |
| 8 | Alphabet Inc CAP STK CL C | $18.1B | 57.66M | 1.9% | Withheld | |
| 9 | Tesla Inc COM | $17.1B | 38.09M | 1.8% | Withheld | |
| 10 | Eli Lilly & Co COM | $13.0B | 12.07M | 1.4% | Withheld | |
| 11 | JPMorgan Chase & Co. COM | $11.4B | 35.37M | 1.2% | Withheld | |
| 12 | Berkshire Hathaway Inc Del CL A | $7.8B | 10.3K | 0.8% | Withheld | |
| 13 | Exxon Mobil Corp COM | $7.6B | 63.36M | 0.8% | Withheld | |
| 14 | Johnson & Johnson COM | $6.9B | 33.46M | 0.7% | Withheld | |
| 15 | Mastercard Incorporated CL A | $6.7B | 11.75M | 0.7% | Withheld | |
| 16 | Walmart Inc COM | $6.5B | 57.97M | 0.7% | Withheld | |
| 17 | Micron Technology Inc COM | $6.4B | 22.54M | 0.7% | Withheld | |
| 18 | Visa Inc COM CL A | $5.9B | 16.76M | 0.6% | Withheld | |
| 19 | Abbvie Inc COM | $5.9B | 25.67M | 0.6% | Withheld | |
| 20 | Netflix Inc COM | $5.8B | 61.89M | 0.6% | Withheld | |
| 21 | Welltower Inc COM | $5.5B | 29.45M | 0.6% | Withheld | |
| 22 | Costco WHSL Corp New COM | $5.2B | 6.02M | 0.6% | Withheld | |
| 23 | Palantir Technologies Inc CL A | $5.1B | 28.97M | 0.6% | Withheld | |
| 24 | Advanced Micro Devices Inc COM | $4.9B | 23.02M | 0.5% | Withheld | |
| 25 | UBS Group AG SHS | $4.9B | 104.98M | 0.5% | Withheld | |
| 26 | Home Depot Inc COM | $4.9B | 14.10M | 0.5% | Withheld | |
| 27 | Bank America Corp COM | $4.8B | 86.80M | 0.5% | Withheld | |
| 28 | Procter And Gamble Co COM | $4.7B | 32.55M | 0.5% | Withheld | |
| 29 | Wells Fargo Co New COM | $4.5B | 48.42M | 0.5% | Withheld | |
| 30 | Cisco Sys Inc COM | $4.5B | 58.07M | 0.5% | Withheld | |
| 31 | Ge Aerospace COM NEW | $4.4B | 14.43M | 0.5% | Withheld | |
| 32 | Unitedhealth Group Inc COM | $4.4B | 13.26M | 0.5% | Withheld | |
| 33 | Oracle Corp COM | $4.3B | 22.25M | 0.5% | Withheld | |
| 34 | Berkshire Hathaway Inc Del CL B NEW | $4.3B | 8.46M | 0.5% | Withheld | |
| 35 | Merck & Co Inc COM | $4.0B | 37.98M | 0.4% | Withheld | |
| 36 | Coca Cola Co COM | $3.9B | 55.30M | 0.4% | Withheld | |
| 37 | Chevron Corp New COM | $3.7B | 24.46M | 0.4% | Withheld | |
| 38 | Lam Research Corp COM NEW | $3.6B | 21.30M | 0.4% | Withheld | |
| 39 | Royal BK Cda COM | $3.5B | 20.37M | 0.4% | Withheld | |
| 40 | Digital Rlty TR Inc COM | $3.4B | 22.00M | 0.4% | Withheld | |
| 41 | Booking Holdings Inc COM | $3.3B | 610.8K | 0.3% | Withheld | |
| 42 | Linde PLC SHS | $3.2B | 7.61M | 0.3% | Withheld | |
| 43 | Salesforce Inc COM | $3.2B | 12.02M | 0.3% | Withheld | |
| 44 | RTX Corporation COM | $3.2B | 17.27M | 0.3% | Withheld | |
| 45 | Thermo Fisher Scientific Inc COM | $3.1B | 5.30M | 0.3% | Withheld | |
| 46 | Intuit COM | $3.1B | 4.62M | 0.3% | Withheld | |
| 47 | Amphenol Corp New CL A | $3.1B | 22.59M | 0.3% | Withheld | |
| 48 | Pepsico Inc COM | $3.0B | 21.03M | 0.3% | Withheld | |
| 49 | Kla Corp COM NEW | $3.0B | 2.46M | 0.3% | Withheld | |
| 50 | Abbott Labs COM | $2.9B | 23.46M | 0.3% | Withheld |
As-of date vs the date the SEC received each filing
| Quarter | As of | Filed | Positions | Value | Form |
|---|---|---|---|---|---|
| Q1 2026 | Mar 31, 2026 | May 11, 2026 | 1 | $0 | 13F-HR |
| Q4 2025 | Dec 31, 2025 | Feb 10, 2026 | 1,577 | $934.8B | 13F-HR |
| Q3 2025 | Sep 30, 2025 | Nov 13, 2025 | 1 | $0 | 13F-HR |
| Q2 2025 | Jun 30, 2025 | Aug 13, 2025 | 1,707 | $801.1B | 13F-HR |
| Q1 2025 | Mar 31, 2025 | May 11, 2026 | 1,743 | $712.5B | 13F-HR/A |
| Q4 2024 | Dec 31, 2024 | Feb 12, 2025 | 1,845 | $762.1B | 13F-HR |
| Q3 2024 | Sep 30, 2024 | Nov 12, 2025 | 1,839 | $715.9B | 13F-HR/A |
| Q2 2024 | Jun 30, 2024 | Aug 14, 2024 | 1,930 | $669.4B | 13F-HR |
| Q1 2024 | Mar 31, 2024 | May 14, 2025 | 1,885 | $633.6B | 13F-HR/A |
| Q4 2023 | Dec 31, 2023 | Feb 9, 2024 | 1,942 | $572.3B | 13F-HR |
| Q3 2023 | Sep 30, 2023 | Nov 13, 2024 | 1,966 | $492.8B | 13F-HR/A |
| Q2 2023 | Jun 30, 2023 | Aug 14, 2024 | 2,007 | $506.7B | 13F-HR/A |
| Q1 2023 | Mar 31, 2023 | May 15, 2024 | 2,087 | $456.9B | 13F-HR/A |
| Q4 2022 | Dec 31, 2022 | Feb 14, 2023 | 2,130 | $414.9B | 13F-HR |
| Q3 2022 | Sep 30, 2022 | Nov 13, 2023 | 2,089 | $376.1B | 13F-HR/A |
| Q2 2022 | Jun 30, 2022 | Aug 14, 2023 | 2,052 | $386.8B | 13F-HR/A |
Holdings from SEC EDGAR 13F-HR filings, updated quarterly ~45 days after quarter-end. Public domain. The book and weighting are long equity only; disclosed put/call options are listed separately and excluded from those totals. Price-derived performance is withheld until the price-source policy and freshness gate are green.