Holdings
Scroll
| # | Company | % of Portfolio | Activity | Market Value | Shares | Change | Sector |
|---|---|---|---|---|---|---|---|
| 1 | NVDA NVIDIA CORPORATION | 7.72% | Reduced | $36.53B | 195,880,001 | -488,810 | Electronic Technology |
| 2 | MSFT MICROSOFT CORP | 6.15% | Increased | $29.10B | 60,172,863 | +629,602 | Technology |
| 3 | AAPL APPLE INC | 6.06% | Increased | $28.67B | 105,465,608 | +189,052 | Electronic Technology |
| 4 | AMZN AMAZON COM INC | 3.41% | Increased | $16.12B | 69,840,296 | +592,972 | Consumer Cyclical |
| 5 | GOOGL ALPHABET INC | 2.71% | Reduced | $12.80B | 40,906,995 | -2,395,990 | Communication Services |
| 6 | AVGO BROADCOM INC | 2.44% | Reduced | $11.56B | 33,396,452 | -2,251,182 | Technology |
| 7 | GOOG ALPHABET INC | 2.06% | Increased | $9.74B | 31,045,362 | +1,221,889 | Communication Services |
| 8 | TSLA TESLA INC | 1.92% | Increased | $9.09B | 20,210,335 | +411,464 | Consumer Cyclical |
| 9 | META META PLATFORMS INC | 1.83% | Increased | $8.64B | 13,086,857 | +1,018,914 | Communication Services |
| 10 | LLY ELI LILLY & CO | 1.48% | Increased | $6.98B | 6,499,330 | +66,373 | Healthcare |
Portfolio Changes
Buy Positions
New Buy
Additional Buy
- MSFTMICROSOFT CORP

+1.06%
+629,602Shares
- AAPLAPPLE INC

+0.18%
+189,052Shares
- AMZNAMAZON COM INC

+0.86%
+592,972Shares
- GOOGALPHABET INC

+4.10%
+1,221,889Shares
- TSLATESLA INC

+2.08%
+411,464Shares
Sell Positions
Full Exit
- EOLSEVOLUS INC

Full Exit
0Shares
- LIBERTY MEDIA CORP DEL

Full Exit
0Shares
- CWKCUSHMAN WAKEFIELD PLC

Full Exit
0Shares
- ALEALLETE INC

Full Exit
0Shares
- IASINTEGRAL AD SCIENCE HLDNG CO

Full Exit
0Shares
Partial Exit
- NVDANVIDIA CORPORATION

-0.25%
-488,810Shares
- GOOGLALPHABET INC

-5.53%
-2,395,990Shares
- AVGOBROADCOM INC

-6.32%
-2,251,182Shares
- JPMJPMORGAN CHASE & CO.

-1.40%
-232,398Shares
- VVISA INC

-0.15%
-18,774Shares