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FMR LLC

5,429 holdingsFiling period: 2026-03-31Current AUM: $2.18Testimated from latest prices
#TickerCompanySharesReported ValueCurrent Value% PortfolioChangeDate
1NVDANVIDIA CORPORATION993.85M$173.33B$193.84B8.90%+22.79M2026-03-31
2AAPLAPPLE INC307.44M$78.03B$102.51B4.71%+44.8K2026-03-31
3AMZNAMAZON COM INC358.70M$74.71B$84.47B3.88%+27.23M2026-03-31
4MSFTMICROSOFT CORP190.21M$70.41B$85.80B3.94%-10,737,3782026-03-31
5GOOGLALPHABET INC236.54M$68.02B$78.93B3.62%+4.77M2026-03-31
6METAMETA PLATFORMS INC116.61M$66.72B$62.86B2.89%-5,726,8592026-03-31
7AVGOBROADCOM INC124.11M$38.41B$48.14B2.21%+926.6K2026-03-31
8GOOGALPHABET INC108.56M$31.14B$36.22B1.66%-327,7382026-03-31
9LLYELI LILLY & CO26.34M$24.23B$30.42B1.40%+619.4K2026-03-31
10XOMEXXON MOBIL CORP141.28M$23.97B$22.18B1.02%+9.56M2026-03-31
11XOMEXXON MOBIL CORP141.28M$23.97B$22.18B1.02%+9.56M2026-03-31
12TSMTAIWAN SEMICONDUCTOR MANUFAC60.39M$20.41B$24.36B1.12%-738,6382026-03-31
13NFLXNETFLIX INC.204.65M$19.68B$14.97B0.69%+8.82M2026-03-31
14GEVGE VERNOVA INC18.48M$16.13B$18.14B0.83%-3,015,1812026-03-31
15GEGE AEROSPACE51.98M$14.75B$18.45B0.85%-2,604,6982026-03-31
16VVISA INC44.91M$13.57B$16.45B0.76%-1,802,2762026-03-31
17TSLATESLA INC36.03M$13.39B$11.13B0.51%-3,456,4862026-03-31
18MRVLMARVELL TECHNOLOGY INC131.26M$13.00B$24.06B1.10%+4.44M2026-03-31
19WFCWELLS FARGO & CO161.69M$12.87B$13.81B0.63%-24,011,2552026-03-31
20BRK-ABERKSHIRE HATHAWAY INC DEL17.0K$12.21B$12.21B0.56%-7,5652026-03-31
21MAMASTERCARD INCORPORATED24.26M$12.12B$14.01B0.64%-913,7442026-03-31
22BABOEING CO56.88M$11.32B$12.56B0.58%+3.86M2026-03-31
23MUMICRON TECHNOLOGY INC32.05M$10.83B$28.04B1.29%-7,541,7732026-03-31
24APHAMPHENOL CORP79.48M$10.04B$12.70B0.58%-6,943,2742026-03-31
25GILDGILEAD SCIENCES INC71.91M$10.02B$9.44B0.43%+6.33M2026-03-31
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