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Lynch Asset Management, Inc.

51 holdingsFiling period: 2026-03-31Current AUM: $359.9Mestimated from latest prices
#TickerCompanySharesReported ValueCurrent Value% PortfolioChangeDate
1NVDANVIDIA CORPORATION538.7K$93.9M$108.1M30.05%--2026-03-31
2GOOGLALPHABET INC71.3K$20.5M$25.4M7.05%--2026-03-31
3METAMETA PLATFORMS INC17.6K$10.1M$9.8M2.73%+252026-03-31
4AAPLAPPLE INC39.7K$10.1M$12.3M3.41%--2026-03-31
5CMICUMMINS INC18.6K$10.0M$11.8M3.27%--2026-03-31
6ABBVABBVIE INC45.4K$9.9M$11.4M3.16%-3002026-03-31
7MSFTMICROSOFT CORP25.4K$9.4M$11.8M3.28%+5.0K2026-03-31
8GSGOLDMAN SACHS GROUP INC11.0K$9.3M$11.2M3.12%--2026-03-31
9AMZNAMAZON.COM INC42.6K$8.9M$11.6M3.22%--2026-03-31
10CRWDCROWDSTRIKE HLDGS INC19.7K$7.7M$15.0M4.17%+5752026-03-31
11AMDADVANCED MICRO DEVICES INC35.5K$7.2M$16.9M4.70%--2026-03-31
12FDXFEDEX CORP16.6K$5.9M$5.1M1.42%-3502026-03-31
13AVGOBROADCOM INC18.6K$5.7M$7.2M2.01%+3002026-03-31
14PANWPALO ALTO NETWORKS INC35.0K$5.6M$11.6M3.23%+7.9K2026-03-31
15CVXCHEVRON CORP NEW27.1K$5.6M$5.3M1.48%--2026-03-31
16EATON CORP PLC13.6K$4.9M$4.9M1.35%+1602026-03-31
17MAMASTERCARD INCORPORATED9.6K$4.8M$5.5M1.52%--2026-03-31
18VBVANGUARD INDEX FDS18.1K$4.8M$5.4M1.49%+502026-03-31
19UNHUNITEDHEALTH GROUP INC16.6K$4.5M$6.9M1.92%+1.7K2026-03-31
20NOWSERVICENOW INC41.7K$4.4M$4.6M1.29%+1002026-03-31
21TSLATESLA INC11.6K$4.3M$3.6M1.00%--2026-03-31
22DISDISNEY WALT CO41.9K$4.0M$4.0M1.12%-4002026-03-31
23VVISA INC13.2K$4.0M$4.8M1.34%--2026-03-31
24NVONOVO-NORDISK A S108.0K$4.0M$5.1M1.41%-3002026-03-31
25COSTCOSTCO WHSL CORP NEW3.9K$3.8M$3.7M1.02%--2026-03-31
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