13F Filings for WELLINGTON MANAGEMENT GROUP LLP (CIK: 902219)

View the most recent portfolio holdings disclosed by WELLINGTON MANAGEMENT GROUP LLP in their 13F filing.

HoldingSharesValuePortfolio PercentChange StatusChange Amount
MSFT - MICROSOFT CORP(Class: COM)49.98M $18.76B -Decreased 3.01M (5.0%, $3.57B)
AAPL - APPLE INC(Class: COM)82.46M $18.32B -Decreased 6.79M (7.0%, $4.03B)
NVDA - NVIDIA CORPORATION(Class: COM)136.95M* $14.84B* -Decreased 4.90M (3.0%, $4.21B)
UNH - UNITEDHEALTH GROUP INC(Class: COM)25.85M $13.54B -Increased 2.49M (10.0%, $1.72B)
AMZN - AMAZON COM INC(Class: COM)64.81M* $12.33B* -Decreased 1.57M (2.0%, $2.23B)
LLY - ELI LILLY CO(Class: COM)12.71M $10.50B -Increased 81.59K (0.0%, $748.05M)
AVGO - BROADCOM INC(Class: COM)58.98M* $9.88B* -Increased 12.46M (26.0%, $909.96M)
GOOGL - ALPHABET INC(Class: CAP STK CL A)56M $8.66B -Decreased 10.05M (15.0%, $3.84B)
MA - MASTERCARD INCORPORATED(Class: CL A)13.53M $7.41B -Increased 3.77M (38.0%, $2.27B)
MRK - MERCK CO INC(Class: COM)81.67M $7.33B -Increased 927.62K (1.0%, $701.55M)
JPM - JPMORGAN CHASE CO.(Class: COM)23.87M $5.85B -Decreased 5.47M (18.0%, $1.18B)
META - META PLATFORMS INC(Class: CL A)10.04M $5.79B -Increased 247.85K (2.0%, $53.24M)
WFC - WELLS FARGO CO NEW(Class: COM)70.97M $5.09B -Decreased 16.35M (18.0%, $1.04B)
AXP - AMERICAN EXPRESS CO(Class: COM)18.03M $4.85B -Increased 2.17M (13.0%, $143.54M)
TJX - TJX COS INC NEW(Class: COM)34.46M $4.20B -Decreased 374.52K (1.0%, $11.13M)
NFLX - NETFLIX INC(Class: COM)4.39M $4.09B -Increased 148.68K (3.0%, $313.25M)
ABT - ABBOTT LABS(Class: COM)29.76M $3.95B -Increased 3.37M (12.0%, $962.88M)
V - VISA INC(Class: COM CL A)10.98M $3.85B -Increased 1.65M (17.0%, $900.01M)
PG - PROCTER AND GAMBLE CO(Class: COM)22.26M $3.79B -Decreased 1.96M (8.0%, $267.72M)
JNJ - JOHNSON JOHNSON(Class: COM)22.65M $3.76B -Decreased 1.71M (7.0%, $233.16M)
BAC - BANK AMERICA CORP(Class: COM)89.94M $3.75B -Increased 24.04M (36.0%, $856.99M)
ACN - ACCENTURE PLC IRELAND(Class: SHS CLASS A)11.99M $3.74B -Decreased 184.80K (1.0%, $541.64M)
MCD - MCDONALDS CORP(Class: COM)11.85M $3.70B -Decreased 2.16M (15.0%, $361.08M)
DHR - DANAHER CORPORATION(Class: COM)17.70M $3.63B -Decreased 3.62M (16.0%, $1.27B)
TXN - TEXAS INSTRS INC(Class: COM)19.58M $3.52B -Decreased 1.30M (6.0%, $396.20M)