Cigna Investments Inc Portfolio Stock Holdings
According to the SEC 13F filed on July 21, 2026, Cigna Investments Inc disclosed 471 stock positions valued at approximately $765.31M as of quarter-end June 30, 2026. The largest holdings include OMADA HEALTH, INC. COMMON STOCK, NVIDIA CORP, and APPLE INC.
- Report Period
- June 30, 2026
- No. of Stocks
- 471
- Portfolio Value
- $765.31M
Holdings by Sector
Cigna Investments Inc Portfolio Holdings in Q2 2026
| Company | Symbol | Sector | Portfolio % | Shares | Change (Shares) | Change % | Value |
|---|---|---|---|---|---|---|---|
| OMADA HEALTH, INC. COMMON STOCK | OMDA | Other | 9.88% | 3,444,629 | - | - | $75,610,000 |
| NVIDIA CORP | NVDA | Technology | 5.76% | 220,305 | -4,142 | -1.85% | $44,081,000 |
| APPLE INC | AAPL | Technology | 5.18% | 137,044 | -733 | -0.53% | $39,655,000 |
| ISHARES CORE S P TOTAL US STOC | ITOT | Other | 4.07% | 189,462 | -20,425 | -9.73% | $31,123,000 |
| MICROSOFT CORP | MSFT | Technology | 3.40% | 69,700 | -493 | -0.70% | $25,999,000 |
| AMAZON.COM INC | AMZN | Consumer Cyclical | 2.86% | 91,688 | +206 | +0.23% | $21,853,000 |
| ALPHABET INC | GOOGL | Communication Services | 2.58% | 55,156 | -224 | -0.40% | $19,711,000 |
| BROADCOM INC | AVGO | Technology | 2.16% | 43,785 | -81 | -0.18% | $16,540,000 |
| ALPHABET INC | GOOG | Communication Services | 2.07% | 44,871 | -488 | -1.08% | $15,855,000 |
| MICRON TECHNOLOGY INC | MU | Technology | 1.61% | 10,661 | -1 | -0.01% | $12,306,000 |
| META PLATFORMS INC | META | Communication Services | 1.53% | 20,777 | -30 | -0.14% | $11,703,000 |
| TESLA INC | TSLA | Consumer Cyclical | 1.51% | 27,449 | +541 | +2.01% | $11,545,000 |
| ELI LILLY CO | LLY | Healthcare | 1.18% | 7,550 | -91 | -1.19% | $9,056,000 |
| ADVANCED MICRO DEVICES INC | AMD | Technology | 1.17% | 15,365 | -10 | -0.07% | $8,925,000 |
| BERKSHIRE HATHAWAY INC. | BRK-B | Financial Services | 1.11% | 16,933 | +15 | +0.09% | $8,473,000 |
| JP MORGAN CHASE CO | JPM | Financial Services | 1.08% | 25,303 | -593 | -2.29% | $8,282,000 |
| JOHNSON JOHNSON | JNJ | Healthcare | 0.76% | 22,771 | -175 | -0.76% | $5,784,000 |
| INTEL CORP | INTC | Technology | 0.76% | 41,413 | -788 | -1.87% | $5,783,000 |
| APPLIED MATERIALS INC | AMAT | Technology | 0.71% | 7,476 | -84 | -1.11% | $5,405,000 |
| EXXON MOBIL CORP | XOM | Energy | 0.70% | 39,324 | -938 | -2.33% | $5,377,000 |
| VISA INC - CLASS A SHARES | V | Financial Services | 0.70% | 15,623 | -416 | -2.59% | $5,360,000 |
| ROYAL BANK OF CANADA | RY | Financial Services | 0.68% | 25,240 | +413 | +1.66% | $5,225,000 |
| LAM RESEARCH CORP | LRCX | Other | 0.67% | 11,768 | -193 | -1.61% | $5,099,000 |
| WALMART INC | WMT | Consumer Defensive | 0.62% | 41,567 | +37 | +0.09% | $4,708,000 |
| CATERPILLER INC | CAT | Industrials | 0.60% | 4,316 | -103 | -2.33% | $4,596,000 |
| CISCO SYSTEMS INC | CSCO | Technology | 0.57% | 37,286 | -701 | -1.85% | $4,379,000 |
| ABBVIE INC | ABBV | Healthcare | 0.55% | 16,771 | -105 | -0.62% | $4,220,000 |
| COSTCO WHOLESALE CORP | COST | Consumer Defensive | 0.51% | 4,193 | -39 | -0.92% | $3,923,000 |
| MASTERCARD INC | MA | Financial Services | 0.51% | 7,628 | -97 | -1.26% | $3,918,000 |
| KLA CORP | KLAC | Technology | 0.49% | 12,354 | +11,096 | +882.03% | $3,727,000 |
Showing 30 of 471 holdings in the latest reporting period.