Loading...
Loading...
Portfolio changes from the latest quarterly 13F filings across all tracked funds.
NVDANVIDIA CORPORATION — 2266.68M shares
$422.74B
AAPLAPPLE INC — 1426.28M shares
$387.75B
MSFTMICROSOFT CORP — 717.94M shares
$347.21B
NVDANVIDIA CORPORATION — -16.66M shares (-0.9%)
$336.35B
AAPLAPPLE INC — -11.50M shares (-1.0%)
$290.57B
MSFTMICROSOFT CORP — -8.73M shares (-1.4%)
$219.68B
AMZNAMAZON COM INC — 845.40M shares
$195.14B
NVDANVIDIA CORPORATION — +2.41M shares (+0.2%)
$173.34B
NVDANVIDIA CORPORATION — +22.79M shares (+2.3%)
$173.33B
AVGOBROADCOM INC — 482.71M shares
$167.06B
GOOGLALPHABET INC — 528.97M shares
$165.57B
AMZNAMAZON COM INC — +1.16M shares (+0.2%)
$153.43B
AAPLAPPLE INC — -1.72M shares (-0.3%)
$152.87B
GOOGALPHABET INC — 421.01M shares
$132.11B
METAMETA PLATFORMS INC — 200.00M shares
$132.02B
GOOGLALPHABET INC — +4.99M shares (+1.1%)
$128.53B
AVGOBROADCOM INC — +5.80M shares (+1.5%)
$119.48B
TSLATESLA INC — 258.93M shares
$116.44B
MSFTMICROSOFT CORP — +557.7K shares (+0.2%)
$113.53B
GOOGALPHABET INC — +3.51M shares (+1.0%)
$104.63B
METAMETA PLATFORMS INC — -2.82M shares (-1.6%)
$96.61B
LLYELI LILLY & CO — 81.97M shares
$88.09B
JPMJPMORGAN CHASE & CO. — 265.76M shares
$85.63B
AMZNAMAZON COM INC — +1.80M shares (+0.5%)
$81.32B
BRK/BBERKSHIRE HATHAWAY INC DEL — 157.10M shares
$78.97B
AAPLAPPLE INC — +44.8K shares (+0.0%)
$78.03B
TSLATESLA INC — -1.93M shares (-0.9%)
$77.37B
AMZNAMAZON COM INC — +27.23M shares (+8.2%)
$74.71B
MSFTMICROSOFT CORP — -10.74M shares (-5.3%)
$70.41B
GOOGLALPHABET INC — +4.77M shares (+2.1%)
$68.02B
METAMETA PLATFORMS INC — -5.73M shares (-4.7%)
$66.72B
GOOGLALPHABET INC — -2.04M shares (-0.9%)
$65.06B
JPMJPMORGAN CHASE & CO — -3.69M shares (-1.7%)
$61.26B
LLYELI LILLY & CO — -299.0K shares (-0.4%)
$61.16B
AVGOBROADCOM INC — +1.30M shares (+0.7%)
$59.23B
BRK/BBERKSHIRE HATHAWAY INC DEL — +13.9K shares (+0.0%)
$58.08B
IVVISHARES TR — +5.46M shares (+6.7%)
$57.13B
VVISA INC — 160.98M shares
$56.46B
XOMEXXON MOBIL CORP — +11.52M shares (+3.7%)
$54.76B
GOOGALPHABET INC — -1.39M shares (-0.7%)
$53.27B
JNJJOHNSON & JOHNSON — +4.60M shares (+2.2%)
$52.16B
XOMEXXON MOBIL CORP — 429.76M shares
$51.72B
METAMETA PLATFORMS INC — -2.32M shares (-2.6%)
$50.65B
JNJJOHNSON & JOHNSON — 240.35M shares
$49.74B
WMTWALMART INC — 439.96M shares
$49.02B
MAMASTERCARD INCORPORATED — 79.90M shares
$45.61B
WMTWALMART INC — +3.65M shares (+1.0%)
$43.97B
TSLATESLA INC — -147.5K shares (-0.1%)
$42.64B
SPYSTATE STR SPDR S&P 500 ETF T — +6.66M shares (+11.5%)
$41.99B
ABBVABBVIE INC — 180.78M shares
$41.31B
We'll email you when new 13F filings drop — free, no spam.