HoldingsChannel.com
FMR LLC Top Holdings
As of  06/30/2024, below is a summary of the FMR LLC top holdings by largest position size, as per the latest 13f filing made by FMR LLC. In the FMR LLC-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares held by FMR LLC in that top holding, then the share count change between reporting periods, and finally the FMR LLC top holding position size for that row.

   EntityAmountChange
 03/31/2024 to 06/30/2024
Position Size
($ in 1000's)
NVIDIA CORPORATION      $128,889,408
     NVDA1,043,901,017+928,797,319$128,963,532
     Put600,000+480,000$74,124
MICROSOFT CORP 216,686,981 -4,172,715 $96,848,247
     MSFT216,686,981-4,172,715$96,848,247
APPLE INC 345,635,357 +56,655,939 $72,797,719
     AAPL345,635,357+56,655,939$72,797,719
META PLATFORMS INC 138,456,403 +1,704,091 $69,812,488
     META138,456,403+1,704,091$69,812,488
AMAZON COM INC 329,314,796 +4,254,974 $63,640,084
     AMZN329,314,796+4,254,974$63,640,084
ALPHABET INC 228,428,787 +2,101,495 $41,608,304
     GOOGL228,428,787+2,101,495$41,608,304
ELI LILLY & CO 33,488,021 -594,457 $30,319,385
     LLY33,488,021-594,457$30,319,385
BERKSHIRE HATHAWAY INC DEL      $24,372,301
     BRK.A33,428UNCH$20,465,992
     BRK.B9,602,530-1,103,522$3,906,309
ALPHABET INC 109,147,111 +588,247 $20,019,763
     GOOG109,147,111+588,247$20,019,763
EXXON MOBIL CORP 151,468,431 +9,311,955 $17,437,046
     XOM151,468,431+8,811,955$17,437,046
UNITEDHEALTH GROUP INC 32,697,703 -2,970,654 $16,651,632
     UNH32,697,703-2,970,654$16,651,632
NETFLIX INC 21,231,497 +218,259 $14,328,713
     NFLX21,231,497+218,259$14,328,713
VISA INC 53,846,325 +772,982 $14,133,045
     V53,846,325+772,982$14,133,045
BROADCOM INC 7,402,180 +1,543,354 $11,884,422
     AVGO7,402,180+1,543,354$11,884,422
WELLS FARGO CO NEW      $11,289,998
     WFC189,083,392+2,292,084$11,229,663
     WFC.PRL50,738-2,000$60,335
REGENERON PHARMACEUTICALS 10,649,474 -144,598 $11,192,916
     REGN10,649,474-144,598$11,192,916
BOSTON SCIENTIFIC CORP 141,460,666 -469,347 $10,893,886
     BSX141,460,666-469,347$10,893,886
GE AEROSPACE 67,654,659 -1,436,988 $10,755,061
     GE67,654,659-1,402,288$10,755,061
JPMORGAN CHASE & CO. 53,105,266 -2,259,555 $10,741,071
     JPM53,105,266-2,259,555$10,741,071
MASTERCARD INCORPORATED 20,654,312 -194,933 $9,111,856
     MA20,654,312-194,933$9,111,856
MARVELL TECHNOLOGY INC 129,872,973 -26,219 $9,078,121
     MRVL129,872,973-26,219$9,078,121
TAIWAN SEMICONDUCTOR MFG LTD 52,190,967 +5,604,722 $9,071,312
     TSM52,190,967+5,604,722$9,071,312
BANK AMERICA CORP      $8,016,923
     BAC200,219,692+8,367,924$7,962,737
     BAC.PRL45,268-4,200$54,186
SALESFORCE INC 30,326,110 -6,565,681 $7,796,843
     CRM30,326,110-6,565,681$7,796,843
COSTCO WHSL CORP NEW 8,983,642 -291,308 $7,636,006
     COST8,983,642-291,308$7,636,006
UBER TECHNOLOGIES INC      $7,592,038
     UBER104,301,562-21,191,048$7,580,637
     NOTE 12 110,635,000UNCH$11,401
NXP SEMICONDUCTORS N V 25,542,333 -77,456 $6,873,186
     NXPI25,542,333-77,456$6,873,186
AMPHENOL CORP NEW 101,995,313 +48,269,314 $6,871,424
     APH101,995,313+48,269,314$6,871,424
EATON CORP PLC 20,072,342 -3,023,936 $6,293,683
     ETN20,072,342-3,023,936$6,293,683
MERCK & CO INC 50,653,254 -1,517,665 $6,270,873
     MRK50,653,254-1,517,665$6,270,873
MICRON TECHNOLOGY INC 47,097,837 +8,350,687 $6,194,778
     MU47,097,837+8,350,687$6,194,778
ASML HOLDING N V 5,899,580 +346,674 $6,033,678
     ASML5,899,580+346,674$6,033,678
LINDE PLC 13,636,567 -191,329 $5,983,862
     LIN13,636,567-191,329$5,983,862
ORACLE CORP 40,039,315 +12,120,223 $5,653,551
     ORCL40,039,315+12,120,223$5,653,551
LULULEMON ATHLETICA INC 17,901,815 -258,286 $5,347,272
     LULU17,901,815-258,286$5,347,272
ADVANCED MICRO DEVICES INC 32,616,243 -6,237,019 $5,290,681
     AMD32,616,243-6,237,019$5,290,681
LOWES COS INC 23,610,833 +1,608,868 $5,205,244
     LOW23,610,833+1,608,868$5,205,244
COCA COLA CO 81,754,381 +2,673,635 $5,203,666
     KO81,754,381+2,673,635$5,203,666
DANAHER CORPORATION 20,399,793 -1,819,872 $5,096,888
     DHR20,399,793-1,819,872$5,096,888
VERTEX PHARMACEUTICALS INC 10,729,428 +55,908 $5,029,097
     VRTX10,729,428+55,908$5,029,097
ARISTA NETWORKS INC 14,232,275 +3,516,491 $4,988,128
     ANET14,232,275+3,516,491$4,988,128
ADOBE INC 8,902,807 -627,402 $4,945,865
     ADBE8,902,807-627,402$4,945,865
TESLA INC 23,912,767 +886,804 $4,731,858
     TSLA23,912,767+886,804$4,731,858
THE CIGNA GROUP 13,950,517 -422,730 $4,611,622
     CI13,950,517-422,730$4,611,622
TJX COS INC NEW 41,642,190 -7,238,199 $4,584,805
     TJX41,642,190-7,238,199$4,584,805
INTUITIVE SURGICAL INC 10,132,292 +1,067,925 $4,507,350
     ISRG10,132,292+1,067,925$4,507,350
SHELL PLC 62,043,596 +14,243,937 $4,478,307
     SHEL62,043,596+14,243,937$4,478,307
ON SEMICONDUCTOR CORP      $4,437,409
     ON64,097,886+5,880,891$4,393,910
     NOTE 025,300,000UNCH$24,237
     NOTE 5 013,793,000UNCH$19,262
MARSH & MCLENNAN COS INC 20,926,925 +1,711,801 $4,409,722
     MMC20,926,925+1,711,801$4,409,722
LAM RESEARCH CORP 4,107,695 +424,812 $4,374,078
     LRCX4,107,695+424,812$4,374,078

See Full List: All Stocks Held By FMR LLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By FMR LLC

Size ($ in 1000's)
At 06/30/2024: $1,562,028,830
At 03/31/2024: $1,489,413,909

Combined Holding Report Includes:
FMR LLC
Fidelity Management & Research Co LLC
FIDELITY MANAGEMENT TRUST CO
STRATEGIC ADVISERS LLC
Impresa Management LLC
Fidelity Management & Research Canada ULC
Fidelity Institutional Asset Management Trust Co
FIAM LLC
Fidelity Management & Research Hong Kong Ltd
FMR Investment Management UK Ltd
Fidelity Diversifying Solutions LLC

FMR LLC AUM history

FMR LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from FMR LLC 13F filings. Link to 13F filings: SEC filings

FMR LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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