HoldingsChannel.com
FMR LLC Top Holdings
As of  03/31/2019

   EntityAmountChange
 12/31/2018 to 03/31/2019
Position Size
($ in 1000's)
MICROSOFT CORP 251,558,755 -3,346,942 $29,668,841
     MSFT251,558,755-3,346,942$29,668,841
AMAZON COM INC 16,655,565 -1,157,799 $29,659,396
     AMZN16,655,565-1,157,799$29,659,396
APPLE INC 100,999,544 -11,370,243 $19,184,862
     AAPL100,999,544-11,370,243$19,184,862
FACEBOOK INC 115,072,884 -949,864 $19,181,499
     FB115,072,884-949,864$19,181,499
ALPHABET INC 15,293,916 -661,078 $17,999,257
     GOOGL15,293,916-661,078$17,999,257
UNITEDHEALTH GROUP INC 63,110,328 -1,369,675 $15,604,660
     UNH63,110,328-1,369,675$15,604,660
VISA INC 92,255,849 +1,731,813 $14,409,440
     V92,255,849+1,731,813$14,409,440
SALESFORCE COM INC 89,716,274 +698,321 $14,208,366
     CRM89,716,274+698,321$14,208,366
BERKSHIRE HATHAWAY INC DEL      $13,104,068
     BRK.A29,872+257$8,997,895
     BRK.B20,439,908+340,442$4,106,173
ALPHABET INC 9,456,646 -485,801 $11,095,577
     GOOG9,456,646-485,801$11,095,577
ADOBE INC 36,105,097 -1,215,522 $9,621,648
     ADBE36,105,097-1,215,522$9,621,648
MASTERCARD INC 40,441,076 +720,407 $9,521,850
     MA40,441,076+720,407$9,521,850
NETFLIX INC 26,167,019 +605,419 $9,330,112
     NFLX26,167,019+605,419$9,330,112
BANK AMER CORP      $8,996,584
     BAC324,401,115-10,294,135$8,950,227
     BAC.PRL35,506-9,176$46,357
NVIDIA CORP 49,860,097 +858,116 $8,952,880
     NVDA49,860,097+858,116$8,952,880
PAYPAL HLDGS INC 82,843,184 +3,002,568 $8,602,436
     PYPL82,843,184+3,002,568$8,602,436
JPMORGAN CHASE & CO 64,662,519 -7,476,420 $6,545,786
     JPM64,662,519-7,476,420$6,545,786
BOSTON SCIENTIFIC CORP 146,793,925 -5,718,823 $5,633,951
     BSX146,793,925-5,718,823$5,633,951
COMCAST CORP NEW 126,955,502 -1,212,979 $5,075,682
     CMCSA126,955,502-1,212,979$5,075,682
AMGEN INC 25,346,982 -7,771,431 $4,815,419
     AMGN25,346,982-7,771,431$4,815,419
CITIGROUP INC 73,404,275 -9,802,292 $4,567,214
     C73,404,275-9,802,292$4,567,214
ALTRIA GROUP INC 78,710,352 +31,883,878 $4,520,337
     MO78,710,352+31,883,878$4,520,337
GENERAL ELECTRIC CO 450,426,526 +148,979,851 $4,499,762
     GE450,426,526+148,979,851$4,499,762
AMERICAN TOWER CORP NEW 22,818,504 +2,673,794 $4,496,615
     AMT22,818,504+2,673,794$4,496,615
VERTEX PHARMACEUTICALS INC 24,434,159 +3,951,050 $4,494,663
     VRTX24,434,159+3,951,050$4,494,663
BECTON DICKINSON & CO 17,835,000 +842,590 $4,453,934
     BDX17,835,000+842,590$4,453,934
HOME DEPOT INC 22,341,660 -2,695,246 $4,287,142
     HD22,341,660-2,695,246$4,287,142
BOEING CO 11,041,836 +2,311,630 $4,211,577
     BA11,041,836+2,311,630$4,211,577
MCDONALDS CORP 21,416,684 +59,931 $4,067,029
     MCD21,416,684+59,931$4,067,029
WELLS FARGO CO NEW      $4,024,226
     WFC82,217,255-6,833,396$3,972,738
     WFC.PRL39,774-9,360$51,488
ALEXION PHARMACEUTICALS INC 29,144,320 +2,746,055 $3,939,729
     ALXN29,144,320+2,746,055$3,939,729
INTUITIVE SURGICAL INC 6,807,862 +462,957 $3,884,429
     ISRG6,807,862+462,957$3,884,429
EXXON MOBIL CORP 47,767,853 +3,038,704 $3,859,642
     XOM47,767,853+3,038,704$3,859,642
ALIBABA GROUP HLDG LTD 20,955,847 +2,070,115 $3,823,395
     BABA20,955,847+2,070,115$3,823,395
AMPHENOL CORP NEW 40,224,632 -1,671,666 $3,798,815
     APH40,224,632-1,671,666$3,798,815
DISNEY WALT CO 33,901,641 +9,190,235 $3,764,098
     DIS33,901,641+9,190,235$3,764,098
VERIZON COMMUNICATIONS INC 63,110,908 -1,076,197 $3,731,747
     VZ63,110,908-1,076,197$3,731,747
DANAHER CORPORATION      $3,684,994
     DHR27,671,543+5,635,697$3,653,196
     DHR.PRA29,400+29,400$30,805
     DBCV 1 22,000+2,000$993
PROCTER AND GAMBLE CO 35,400,538 +7,389,251 $3,683,425
     PG35,400,538+7,389,251$3,683,425
CHEVRON CORP NEW 26,121,316 -4,239,475 $3,217,624
     CVX26,121,316-4,239,475$3,217,624
THERMO FISHER SCIENTIFIC INC 11,572,581 +2,900,868 $3,167,647
     TMO11,572,581+2,900,868$3,167,647
LULULEMON ATHLETICA INC 18,492,021 +97,885 $3,030,287
     LULU18,492,021+97,885$3,030,287
ANTHEM INC      $3,015,996
     ANTM10,439,399-904,336$2,995,897
     NOTE 25,065,000-210,000$20,099
WORKDAY INC      $2,898,424
     WDAY14,767,717-427,726$2,847,954
     NOTE 027,040,000+4,776,000$38,177
     NOTE 15,195,000+2,250,000$12,293
LAUDER ESTEE COS INC 17,499,760 +1,724,423 $2,897,086
     EL17,499,760+1,724,423$2,897,086
UNITED TECHNOLOGIES CORP 22,301,087 -2,072,939 $2,874,386
     UTX22,301,087-2,072,939$2,874,386
AMERICAN EXPRESS CO 26,274,516 +1,690,676 $2,871,804
     AXP26,274,516+1,690,676$2,871,804
TJX COS INC NEW 53,531,356 +2,052,931 $2,848,403
     TJX53,531,356+2,052,931$2,848,403
ISHARES INC (IEMG) 53,017,001 +9,527,154 $2,741,509
     IEMG53,017,001+9,527,154$2,741,509
BROADCOM INC 9,094,043 -1,098,717 $2,734,670
     AVGO9,094,043-1,098,717$2,734,670

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 03/31/2019: $834,830,175
At 12/31/2018: $730,171,843

Combined Holding Report Includes:
FMR LLC
FIDELITY MANAGEMENT & RESEARCH CO MA
FMR CO INC

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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