Stock holdings|Bond holdings|Short-term reserve holdings | as of: 02/28/2023 |
9498 Holdings | 1-50 of 9498 | Next> | Holding![Vanguard - All fund holdings (1) Vanguard - All fund holdings (1)](data:image/gif;base64,R0lGODlhAQABAAAAACH5BAEKAAEALAAAAAABAAEAAAICTAEAOw==) | Shares![Vanguard - All fund holdings (2) Vanguard - All fund holdings (2)](data:image/gif;base64,R0lGODlhAQABAAAAACH5BAEKAAEALAAAAAABAAEAAAICTAEAOw==) | Market Value![Vanguard - All fund holdings (3) Vanguard - All fund holdings (3)](data:image/gif;base64,R0lGODlhAQABAAAAACH5BAEKAAEALAAAAAABAAEAAAICTAEAOw==) |
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Apple Inc. | 7,890,682 | $1,163,165,434 | Microsoft Corp. | 3,929,129 | $980,003,355 | Amazon.com Inc. | 4,669,495 | $440,006,514 | NVIDIA Corp. | 1,265,385 | $293,771,782 | Alphabet Inc. Class A | 3,230,263 | $290,917,486 | Tesla Inc. | 1,357,649 | $279,281,976 | Alphabet Inc. Class C | 2,731,815 | $246,682,895 | Berkshire Hathaway Inc. Class B | 783,545 | $239,122,263 | Exxon Mobil Corp. | 2,164,844 | $237,938,004 | UnitedHealth Group Inc. | 490,904 | $233,640,850 | JPMorgan Chase & Co. | 1,529,026 | $219,185,877 | Johnson & Johnson | 1,381,120 | $211,670,451 | Facebook Inc. Class A | 1,180,934 | $206,592,594 | Visa Inc. Class A | 864,171 | $190,065,770 | Taiwan Semiconductor Manufacturing Co. Ltd. | 10,537,413 | $174,329,861 | Procter & Gamble Co. | 1,238,231 | $170,331,056 | Chevron Corp. | 1,017,887 | $163,645,693 | Home Depot Inc. | 542,920 | $160,997,497 | Nestle SA | 1,414,587 | $159,382,428 | Mastercard Inc. Class A | 447,153 | $158,868,989 | AbbVie Inc. | 927,086 | $142,678,535 | Merck & Co. Inc. | 1,327,830 | $141,068,659 | Tencent Holdings Ltd. | 3,152,902 | $138,501,962 | Eli Lilly & Co. | 442,376 | $137,676,259 | ASML Holding NV | 211,991 | $130,662,003 | Bank of America Corp. | 3,685,733 | $126,420,642 | PepsiCo Inc. | 725,767 | $125,942,348 | Broadcom Inc. | 207,873 | $123,536,845 | Coca-Cola Co. | 2,049,876 | $121,988,121 | Pfizer Inc. | 2,969,019 | $120,453,101 | Novo Nordisk A/S Class B | 821,536 | $116,046,291 | Samsung Electronics Co. Ltd. | 2,532,048 | $115,853,668 | Shell plc | 3,731,275 | $113,014,260 | Costco Wholesale Corp. | 232,578 | $112,609,616 | Thermo Fisher Scientific Inc. | 205,884 | $111,539,716 | LVMH Moet Hennessy Louis Vuitton SE | 131,081 | $108,971,167 | Walmart Inc. | 746,481 | $106,097,345 | Cisco Systems Inc. | 2,160,121 | $104,593,059 | McDonald's Corp. | 387,738 | $102,327,936 | AstraZeneca plc | 776,469 | $101,156,880 | Walt Disney Co. | 955,597 | $95,187,017 | Wells Fargo & Co. | 1,991,636 | $93,148,816 | Abbott Laboratories | 901,560 | $91,706,683 | Linde plc | 259,852 | $90,524,641 | Novartis AG | 1,058,206 | $89,058,748 | Accenture plc Class A | 334,242 | $88,757,963 | Roche Holding AG | 304,205 | $87,714,160 | Toyota Motor Corp. | 6,390,140 | $87,094,913 | Alibaba Group Holding Ltd. | 7,902,220 | $86,856,810 | Verizon Communications Inc. | 2,209,239 | $85,740,566 |
9498 Holdings | 1-50 of 9498 | Next> | |