13F Filings for FMR LLC (CIK: 315066)
View the most recent portfolio holdings disclosed by FMR LLC in their 13F filing.
Holding | Shares | Value | Portfolio Percent | Change Status | Change Amount |
---|---|---|---|---|---|
NVDA - NVIDIA CORPORATION(Class: COM) | 1B | $108.59B | - | Decreased | 2.45M (0.0%, $26.29B) |
META - META PLATFORMS INC(Class: CL A) | 135.17M | $77.91B | - | Decreased | 1.08M (0.0%, $1.87B) |
MSFT - MICROSOFT CORP(Class: COM) | 194.59M | $73.05B | - | Decreased | 2.92M (1.0%, $10.20B) |
AAPL - APPLE INC(Class: COM) | 328.10M | $72.88B | - | Decreased | 13.54M (3.0%, $12.67B) |
AMZN - AMAZON COM INC(Class: COM) | 339.63M | $64.62B | - | Increased | 11.17M (3.0%, $7.44B) |
GOOGL - ALPHABET INC(Class: CAP STK CL A) | 221.16M | $34.20B | - | Decreased | 27.25M (10.0%, $12.82B) |
BRK.A - BERKSHIRE HATHAWAY INC DEL(Class: CL A) | 33.25K | $26.55B | - | Decreased | 270 (0.0%, $3.72B) |
LLY - ELI LILLY CO(Class: COM) | 28.47M | $23.51B | - | Decreased | 2.07M (6.0%, $60.65M) |
NFLX - NETFLIX INC(Class: COM) | 22.32M | $20.82B | - | Increased | 1.43M (6.0%, $2.20B) |
V - VISA INC(Class: COM CL A) | 57.17M | $20.04B | - | Increased | 1.70M (3.0%, $2.50B) |
AVGO - BROADCOM INC(Class: COM) | 101.87M | $17.06B | - | Increased | 8.59M (9.0%, $4.57B) |
XOM - EXXON MOBIL CORP(Class: COM) | 141.80M | $16.86B | - | Decreased | 4.31M (2.0%, $1.15B) |
GOOG - ALPHABET INC(Class: CAP STK CL C) | 105.09M | $16.42B | - | Decreased | 12.90M (10.0%, $6.05B) |
WFC - WELLS FARGO CO NEW(Class: COM) | 205.37M | $14.74B | - | Increased | 2.32M (1.0%, $481.31M) |
BSX - BOSTON SCIENTIFIC CORP(Class: COM) | 128.60M | $12.97B | - | Decreased | 3.85M (2.0%, $1.14B) |
GE - GE AEROSPACE(Class: COM NEW) | 64.01M | $12.81B | - | Decreased | 2.81M (4.0%, $1.67B) |
UNH - UNITEDHEALTH GROUP INC(Class: COM) | 24.22M | $12.68B | - | Decreased | 5.90M (19.0%, $2.55B) |
MA - MASTERCARD INCORPORATED(Class: CL A) | 22.80M | $12.50B | - | Increased | 532.89K (2.0%, $771.96M) |
JPM - JPMORGAN CHASE CO.(Class: COM) | 47.01M | $11.53B | - | Decreased | 1.20M (2.0%, $25.60M) |
COST - COSTCO WHSL CORP NEW(Class: COM) | 9.52M | $9B | - | Increased | 61.04K (0.0%, $336.83M) |
TSM - TAIWAN SEMICONDUCTOR MFG LTD(Class: SPONSORED ADS) | 51.98M | $8.63B | - | Decreased | 6.56M (11.0%, $2.93B) |
BAC - BANK AMERICA CORP(Class: COM) | 203.34M | $8.49B | - | Increased | 9.99M (5.0%, $12.53M) |
TSLA - TESLA INC(Class: COM) | 30.21M | $7.83B | - | Decreased | 4.45M (12.0%, $6.17B) |
MRVL - MARVELL TECHNOLOGY INC(Class: COM) | 123.85M | $7.63B | - | Decreased | 6.14M (4.0%, $6.73B) |
BRK.B - BERKSHIRE HATHAWAY INC DEL(Class: CL B NEW) | 13.93M | $7.42B | - | Increased | 4.08M (41.0%, $2.95B) |