ING Group Top Holdings and 13F Report (2022) About ING GroupING Group NYSE: ING has filed 13-F forms with the SEC as an investor. ING Group is itself a publicly traded company. ING Groep N.V. provides various banking products and services in the Netherlands, Belgium, Germany, rest of Europe, and internationally. It operates through five segments: Retail Netherlands, Retail Belgium, Retail Germany, Retail Other, and Wholesale Banking. For more information on ING Group stock, visit the ING Group stock profile here.Investment ActivityING Group has $16.35 billion in total holdings as of September 30, 2022.ING Group owns shares of 503 different stocks, but just 86 companies or ETFs make up 80% of its holdings.Approximately 25.93% of the portfolio was purchased this quarter.About 22.26% of the portfolio was sold this quarter.This quarter, ING Group has purchased 553 new stocks and bought additional shares in 168 stocks.ING Group sold shares of 214 stocks and completely divested from 130 stocks this quarter.Largest Holdings NVIDIA $1,473,672,152Microsoft $862,046,714Apple $671,881,869Alphabet $579,408,147Alphabet $552,344,385 Largest New Holdings this Quarter 81369Y100 - Materials Select Sector SPDR Fund $101,642,028 Holding30231G102 - ExxonMobil $78,992,339 HoldingG66721104 - Norwegian Cruise Line $73,969,346 Holding25754A201 - DOMINOS PIZZA INC $40,187,709 Holding194162103 - Colgate-Palmolive $27,949,559 Holding Largest Purchases this Quarter Alphabet 980,060 shares (about $281.14M)Amazon.com 1,253,935 shares (about $261.16M)Alphabet 687,271 shares (about $197.63M)Microsoft 482,346 shares (about $178.55M)Micron Technology 504,467 shares (about $170.43M) Largest Sales this Quarter Apple 1,686,373 shares (about $427.98M)Broadcom 718,629 shares (about $222.42M)Mastercard 344,677 shares (about $172.22M)SPDR S&P 500 ETF Trust 200,878 shares (about $130.64M)Salesforce 595,719 shares (about $111.20M) Sector Allocation Over TimeMap of 500 Largest Holdings ofING Group Selling Neutral Buying Latest 13F Holdings and Changes Since Previous Quarterly FilingIssuer NameHoldings ValueApproximate Purchase/SaleChange in SharesShares Held% of PortfolioSectorNVDANVIDIA$1,473,672,152$92,886,835 â–¼-5.9%8,449,9559.0%Computer and TechnologyMSFTMicrosoft$862,046,714$178,550,019 â–²26.1%2,328,7865.3%Computer and TechnologyAAPLApple$671,881,869$427,984,603 â–¼-38.9%2,647,3934.1%Computer and TechnologyGOOGAlphabet$579,408,147$281,140,012 â–²94.3%2,019,8293.5%Computer and TechnologyGOOGLAlphabet$552,344,385$197,631,649 â–²55.7%1,920,7973.4%Computer and TechnologyAVGOBroadcom$475,331,840$222,422,862 â–¼-31.9%1,535,7562.9%Computer and TechnologyMAMastercard$469,691,393$172,221,310 â–¼-26.8%940,0222.9%Business ServicesAMZNAmazon.com$322,392,796$261,157,042 â–²426.5%1,547,9562.0%Retail/WholesaleHONHoneywell International$296,907,131$39,496,256 â–²15.3%1,313,5741.8%Multi-Sector ConglomeratesMUMicron Technology$295,331,282$170,429,131 â–²136.5%874,1751.8%Computer and TechnologyBACBank of America$279,974,614$1,147,819 â–¼-0.4%5,743,0691.7%FinanceMETAMeta Platforms$240,139,553$69,348,449 â–²40.6%419,7291.5%Computer and TechnologyHDHome Depot$234,396,943$107,817,049 â–²85.2%712,6911.4%Retail/WholesaleXLIIndustrial Select Sector SPDR Fund$229,588,0260.0%1,419,5761.4%ETFTSLATesla$222,607,989$81,242,245 â–²57.5%598,8111.4%Auto/Tires/TrucksLINDE PLC$214,471,229$88,275,025 â–¼-29.2%432,6111.3%SHSLLYEli Lilly and Company$178,899,864$11,837,440 â–²7.1%194,5051.1%MedicalCARAvis Budget Group$178,666,250$27,711,500 â–²18.4%1,225,0001.1%TransportationPEPPepsiCo$161,092,100$63,981,654 â–²65.9%1,037,3631.0%Consumer StaplesIBMInternational Business Machines$159,191,329$79,194,145 â–²99.0%656,7571.0%Computer and TechnologyJPMJPMorgan Chase & Co.$149,416,513$196,793 â–²0.1%507,9430.9%FinancePALANTIR TECHNOLOGIES INC$147,875,769$7,864,744 â–¼-5.0%1,010,9090.9%CL ACOSTCostco Wholesale$138,655,227$86,125,430 â–²164.0%139,1520.8%Retail/WholesaleMCDMcDonald's$125,893,259$45,679,603 â–²56.9%405,0750.8%Retail/WholesaleABBVAbbVie$113,609,381$58,432,821 â–¼-34.0%522,3660.7%MedicalAMDAdvanced Micro Devices$113,457,590$5,895,808 â–¼-4.9%557,7230.7%Computer and TechnologySANDISK CORP$112,167,371$87,520,626 â–²355.1%176,5470.7%COMORCLOracle$111,908,195$38,941,782 â–²53.4%760,7110.7%Computer and TechnologyWALMART INC$109,093,481$71,296,577 â–²188.6%877,8040.7%COMKVUEKenvue$104,896,935$65,022,056 â–¼-38.3%6,084,5090.6%Consumer StaplesABTAbbott Laboratories$104,814,776$43,680,849 â–²71.5%1,020,8900.6%MedicalXLBMaterials Select Sector SPDR Fund$101,642,028$101,642,028 â–²New Holding2,034,0610.6%ETFJNJJohnson & Johnson$101,415,956$208,263 â–²0.2%414,8910.6%MedicalMPLXMplx$100,911,174$64,808,692 â–¼-39.1%1,768,2000.6%EnergyCATCaterpillar$100,633,909$53,563,118 â–²113.8%142,0460.6%IndustrialsLAM RESEARCH CORP$98,879,498$16,124,493 â–²19.5%462,7890.6%COM NEWGEGE Aerospace$96,261,878$50,339,947 â–²109.6%339,2250.6%AerospaceGE VERNOVA INC$96,073,120$71,313,311 â–²288.0%110,0620.6%COMWBDWarner Bros. Discovery$93,488,394$41,913,763 â–²81.3%3,404,5300.6%Consumer DiscretionaryAMATApplied Materials$91,578,187$63,985,480 â–²231.9%267,9370.6%Computer and TechnologyPMPhilip Morris International$90,815,475$38,771,073 â–²74.5%549,2650.6%Consumer StaplesADIAnalog Devices$89,205,820$18,400,900 â–²26.0%280,3980.5%Computer and TechnologyBABoeing$88,107,795$65,622,978 â–¼-42.7%442,6860.5%AerospaceCAHCardinal Health$87,016,824$3,890,006 â–¼-4.3%411,7970.5%MedicalORLYO'Reilly Automotive$83,734,678$36,355,186 â–²76.7%907,1030.5%Retail/WholesaleNEOGNeogen$82,720,947$1,177,972 â–²1.4%8,904,3000.5%MedicalTAT&T$82,037,931$22,599,444 â–²38.0%2,829,8700.5%Computer and TechnologyINTCIntel$81,487,104$4,240,010 â–²5.5%1,846,5240.5%Computer and TechnologyXOMExxonMobil$78,992,339$78,992,339 â–²New Holding465,5920.5%EnergyMRKMerck & Co., Inc.$77,191,176$17,416,669 â–¼-18.4%641,7090.5%MedicalNCLHNorwegian Cruise Line$73,969,346$73,969,346 â–²New Holding3,955,5800.5%Consumer DiscretionaryCTSHCognizant Technology Solutions$69,958,325$36,333,188 â–¼-34.2%1,140,3150.4%Computer and TechnologyFERROVIAL SE$66,273,591$163,861 â–²0.2%1,018,8100.4%ORD SHSISRGIntuitive Surgical$65,681,394$25,947,744 â–¼-28.3%142,4790.4%MedicalNGLNGL Energy Partners$65,494,531$1,689,210 â–²2.6%5,311,8030.4%EnergyWESWestern Midstream Partners$65,357,375$35,893,941 â–²121.8%1,587,5000.4%EnergyMCKMcKesson$64,550,664$1,941,002 â–²3.1%74,5940.4%MedicalNSCNorfolk Southern$64,363,481$43,441,468 â–²207.6%224,2630.4%TransportationLMTLockheed Martin$64,133,636$49,615,584 â–²341.8%106,1130.4%AerospaceTTTrane Technologies$63,620,362$3,956,946 â–¼-5.9%152,6620.4%ConstructionSHWSherwin-Williams$63,611,865$39,301,353 â–²161.7%198,4460.4%Basic MaterialsTMOThermo Fisher Scientific$63,041,180$52,165,096 â–²479.6%128,2550.4%MedicalBKNGBooking$62,443,256$1,065,211 â–¼-1.7%14,8310.4%Retail/WholesaleSPYSPDR S&P 500 ETF Trust$61,951,388$130,638,998 â–¼-67.8%95,2600.4%FinancePGProcter & Gamble$61,210,205$5,574,373 â–¼-8.3%423,7760.4%Consumer StaplesCMICummins$58,062,580$47,926,821 â–²472.8%107,9190.4%Auto/Tires/TrucksCVXChevron$57,511,993$32,730,546 â–²132.1%277,9700.4%EnergyATIATI$54,911,150$26,502,812 â–²93.3%377,5000.3%Basic MaterialsADBEAdobe$54,550,555$3,209,628 â–²6.3%224,4140.3%Computer and TechnologyCMSCMS Energy$51,018,082$46,998,740 â–¼-47.9%657,6190.3%UtilitiesROSTRoss Stores$50,585,705$16,235,769 â–²47.3%233,5120.3%Retail/WholesaleTJXTJX Companies$50,135,579$2,955,248 â–²6.3%313,9360.3%Retail/WholesaleMMM3M$48,992,179$30,983,949 â–²172.1%337,3420.3%Multi-Sector ConglomeratesDXCMDexCom$48,126,215$5,818,357 â–²13.8%766,3410.3%MedicalHOLXHologic$47,417,985$45,243,714 â–²2,080.9%627,3050.3%MedicalWDCWestern Digital$46,918,113$16,568,594 â–¼-26.1%173,4560.3%Computer and TechnologyCORCencora$45,886,744$15,903,338 â–¼-25.7%146,0710.3%MedicalARISTA NETWORKS INC$45,794,116$14,005,146 â–²44.1%372,9770.3%COM SHSKOCocaCola$45,671,371$21,761,479 â–¼-32.3%600,5440.3%Consumer StaplesDHRDanaher$41,359,534$9,202,615 â–²28.6%218,1410.3%MedicalDISWalt Disney$41,088,818$5,790,607 â–¼-12.4%426,3210.3%Consumer DiscretionaryDOMINOS PIZZA INC$40,187,709$40,187,709 â–²New Holding112,0090.2%COMINTUIntuit$39,770,745$9,913,176 â–²33.2%91,9810.2%Computer and TechnologyULTAUlta Beauty$38,431,730$31,951,171 â–²493.0%73,5240.2%Retail/WholesaleTXNTexas Instruments$38,224,613$2,976,360 â–²8.4%196,8920.2%Computer and TechnologyCTASCintas$37,728,538$23,654,568 â–¼-38.5%223,0610.2%Business ServicesEWEdwards Lifesciences$36,167,892$9,661,812 â–²36.5%451,6470.2%MedicalQQQInvesco QQQ$35,998,1390.0%62,3690.2%FinanceAPHAmphenol$35,975,888$23,261,793 â–¼-39.3%284,7320.2%Computer and TechnologyNOWServiceNow$35,505,494$12,497,175 â–²54.3%339,6030.2%Computer and TechnologyGELGenesis Energy$34,584,851$10,004,413 â–¼-22.4%1,939,7000.2%EnergyMCHPMicrochip Technology$34,298,477$9,165,058 â–¼-21.1%530,8540.2%Computer and TechnologyCVSCVS Health$34,070,690$6,278,648 â–²22.6%474,3900.2%MedicalUNHUnitedHealth Group$33,711,455$792,017 â–²2.4%124,5850.2%MedicalALGNAlign Technology$32,135,068$26,268,048 â–²447.7%187,4530.2%MedicalCSCOCisco Systems$32,128,390$89,941,165 â–¼-73.7%414,0790.2%Computer and TechnologyNEMNewmont$30,229,895$7,156,516 â–²31.0%279,2600.2%Basic MaterialsVRTXVertex Pharmaceuticals$29,214,880$7,012,464 â–¼-19.4%65,4250.2%MedicalWMBWilliams Companies$29,024,737$5,085,575 â–²21.2%398,8010.2%EnergyTERTeradyne$28,904,257$22,904,203 â–²381.7%97,4980.2%Computer and TechnologyShowing largest 100 holdings. 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