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BlackRock, Inc.

5,630 holdingsFiling period: 2026-03-31Current AUM: $6.53Testimated from latest prices
#TickerCompanySharesReported ValueCurrent Value% PortfolioChangeDate
1NVDANVIDIA CORPORATION1.93B$336.35B$376.16B5.76%-16,659,7102026-03-31
2AAPLAPPLE INC1.14B$290.57B$381.75B5.84%-11,504,3062026-03-31
3MSFTMICROSOFT CORP593.46M$219.68B$267.71B4.10%-8,731,4242026-03-31
4AMZNAMAZON COM INC736.69M$153.43B$173.49B2.66%+1.16M2026-03-31
5GOOGLALPHABET INC446.98M$128.53B$149.14B2.28%+4.99M2026-03-31
6AVGOBROADCOM INC386.01M$119.48B$149.71B2.29%+5.80M2026-03-31
7GOOGALPHABET INC364.76M$104.63B$121.71B1.86%+3.51M2026-03-31
8METAMETA PLATFORMS INC168.87M$96.61B$91.02B1.39%-2,823,3072026-03-31
9TSLATESLA INC208.13M$77.37B$64.28B0.98%-1,928,7992026-03-31
10JPMJPMORGAN CHASE & CO208.26M$61.26B$73.07B1.12%-3,686,9392026-03-31
11LLYELI LILLY & CO66.49M$61.16B$76.80B1.18%-299,0212026-03-31
12BRK-BBERKSHIRE HATHAWAY INC DEL121.21M$58.08B$58.08B0.89%+13.9K2026-03-31
13IVVISHARES TR87.45M$57.13B$65.17B1.00%+5.46M2026-03-31
14XOMEXXON MOBIL CORP322.74M$54.76B$50.66B0.78%+11.52M2026-03-31
15XOMEXXON MOBIL CORP322.74M$54.76B$50.66B0.78%+11.52M2026-03-31
16JNJJOHNSON & JOHNSON213.39M$52.16B$54.59B0.84%+4.60M2026-03-31
17WMTWALMART INC353.77M$43.97B$39.30B0.60%+3.65M2026-03-31
18VVISA INC136.19M$41.16B$49.88B0.76%-3,959,5422026-03-31
19MUMICRON TECHNOLOGY INC103.35M$34.92B$90.40B1.38%+2.65M2026-03-31
20COSTCOSTCO WHOLESALE CORPORATION34.95M$34.82B$33.35B0.51%-152,4812026-03-31
21MAMASTERCARD INCORPORATED67.04M$33.49B$38.70B0.59%-1,268,7122026-03-31
22NFLXNETFLIX INC.346.37M$33.30B$25.34B0.39%-2,099,9882026-03-31
23ABBVABBVIE INC150.75M$32.79B$38.80B0.59%-424,9182026-03-31
24CVXCHEVRON CORPORATION144.72M$29.94B$27.83B0.43%+3.43M2026-03-31
25AMDADVANCED MICRO DEVICES INC145.77M$29.65B$70.75B1.08%-1,762,4242026-03-31
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