13F Filings for Bank of New York Mellon Corp (CIK: 1390777)
View the most recent portfolio holdings disclosed by Bank of New York Mellon Corp in their 13F filing.
Holding | Shares | Value | Portfolio Percent | Change Status | Change Amount |
---|---|---|---|---|---|
AAPL - APPLE INC(Class: COM) | 105.97M* | $23.54B* | - | Decreased | 3.24M (2.0%, $3.81B) |
MSFT - MICROSOFT CORP(Class: COM) | 59.90M* | $22.49B* | - | Decreased | 2.24M (3.0%, $3.71B) |
NVDA - NVIDIA CORPORATION(Class: COM) | 167.85M* | $18.19B* | - | Decreased | 8M (4.0%, $5.42B) |
AMZN - AMAZON.COM INC(Class: COM) | 64.85M | $12.34B | - | Decreased | 2.24M (3.0%, $2.38B) |
META - META PLATFORMS INC-CLASS A(Class: CL A) | 13.90M | $8.01B | - | Decreased | 594.17K (4.0%, $475.06M) |
IVV - ISHARES CORE SP 500 ETF(Class: CORE) | 13.49M | $7.58B | - | Decreased | 418.15K (3.0%, $607.33M) |
GOOGL - ALPHABET INC-CL A(Class: CAP) | 45.31M* | $7.01B* | - | Decreased | 1.30M (2.0%, $1.82B) |
GOOG - ALPHABET INC-CL C(Class: CAP) | 42.26M* | $6.60B* | - | Decreased | 1.31M (3.0%, $1.70B) |
BRK.B - BERKSHIRE HATHAWAY INC-CL B(Class: CL B) | 12.18M | $6.49B | - | Decreased | 415.26K (3.0%, $777.95M) |
JPM - JPMORGAN CHASE CO(Class: COM) | 24.80M | $6.08B | - | Increased | 454.23K (1.0%, $247.52M) |
XOM - EXXON MOBIL CORP(Class: COM) | 45.32M | $5.39B | - | Increased | 1.34M (3.0%, $659.06M) |
AVGO - BROADCOM INC(Class: COM) | 31.09M | $5.21B | - | Decreased | 1.09M (3.0%, $2.26B) |
V - VISA INC-CLASS A SHARES(Class: COM) | 13.84M* | $4.85B* | - | Increased | 535.53K (4.0%, $645.55M) |
MA - MASTERCARD INC - A(Class: CL A) | 8.73M* | $4.78B* | - | Decreased | 261.20K (2.0%, $50.57M) |
LLY - ELI LILLY CO(Class: COM) | 5.60M* | $4.62B* | - | Decreased | 279.21K (4.0%, $86.08M) |
TSLA - TESLA INC(Class: COM) | 16.61M | $4.30B | - | Decreased | 418.76K (2.0%, $2.57B) |
UNH - UNITEDHEALTH GROUP INC(Class: COM) | 8.13M | $4.26B | - | Increased | 196.70K (2.0%, $244.91M) |
COST - COSTCO WHOLESALE CORP(Class: COM) | 4.17M | $3.94B | - | Decreased | 162.03K (3.0%, $25.39M) |
JNJ - JOHNSON JOHNSON(Class: COM) | 23.18M | $3.84B | - | Increased | 4.84M (26.0%, $1.19B) |
IJH - ISHARES CORE SP MIDCAP ETF(Class: CORE) | 59.40M | $3.47B | - | Increased | 7.41M (14.0%, $226.75M) |
PG - PROCTER GAMBLE CO/THE(Class: COM) | 18.86M | $3.21B | - | Decreased | 409.72K (2.0%, $16.44M) |
HD - HOME DEPOT INC(Class: COM) | 8.16M | $2.99B | - | Decreased | 144.27K (1.0%, $239.69M) |
LIN - LINDE PLC(Class: SHS) | 6.32M | $2.94B | - | Decreased | 373.06K (5.0%, $140.51M) |
TSM - TAIWAN SEMICONDUCTOR-SP ADR(Class: SPON) | 17.61M | $2.92B | - | Decreased | 1.77M (9.0%, $904.52M) |
NFLX - NETFLIX INC(Class: COM) | 3.09M* | $2.88B* | - | Decreased | 19.84K (0.0%, $109.55M) |