HoldingsChannel.com
FMR LLC Top Holdings
As of  06/30/2023, 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
 03/31/2023 to 06/30/2023
Position Size
($ in 1000's)
MICROSOFT CORP 210,111,250 +9,587,877 $71,551,285
     MSFT210,111,250+9,587,877$71,551,285
APPLE INC 307,066,638 -4,370,938 $59,561,716
     AAPL307,066,638-4,370,938$59,561,716
NVIDIA CORPORATION 131,491,181 -4,926,131 $55,623,400
     NVDA131,491,181-4,926,131$55,623,400
AMAZON COM INC 280,451,570 +3,094,149 $36,559,667
     AMZN280,451,570+3,094,149$36,559,667
META PLATFORMS INC 125,808,261 +3,698,115 $36,104,455
     META125,808,261+3,698,115$36,104,455
ALPHABET INC 215,246,788 +7,418,104 $25,765,041
     GOOGL215,246,788+7,418,104$25,765,041
UNITEDHEALTH GROUP INC 44,941,437 -573,654 $21,600,652
     UNH44,941,437-573,654$21,600,652
BERKSHIRE HATHAWAY INC DEL      $21,362,942
     BRK.A33,475+1,501$17,333,690
     BRK.B11,815,988+197,671$4,029,252
LILLY ELI & CO 32,798,289 +791,013 $15,381,741
     LLY32,798,289+791,013$15,381,741
EXXON MOBIL CORP 141,037,152 -3,912,182 $15,126,235
     XOM141,037,152-3,912,182$15,126,235
ALPHABET INC 115,885,929 +10,331,843 $14,018,721
     GOOG115,885,929+10,331,843$14,018,721
VISA INC 48,100,142 -75,947 $11,422,822
     V48,100,142-75,947$11,422,822
NETFLIX INC 23,551,711 -12,539 $10,374,293
     NFLX23,551,711-12,539$10,374,293
MASTERCARD INCORPORATED 21,116,860 -2,230,580 $8,305,261
     MA21,116,860-2,230,580$8,305,261
SALESFORCE INC 37,874,759 +1,517,037 $8,001,422
     CRM37,874,759+1,517,037$8,001,422
MARVELL TECHNOLOGY INC 128,997,314 +464,587 $7,711,459
     MRVL128,997,314+464,587$7,711,459
WELLS FARGO CO NEW      $7,573,014
     WFC176,306,845-14,691,245$7,524,776
     WFC.PRL41,855UNCH$48,238
TESLA INC 28,771,552 -4,554,837 $7,531,529
     TSLA28,771,552-4,554,837$7,531,529
JPMORGAN CHASE & CO 48,811,257 +6,554,435 $7,099,109
     JPM48,811,257+6,554,435$7,099,109
GENERAL ELECTRIC CO 64,149,366 +353,531 $7,046,808
     GE64,149,366+353,531$7,046,808
LULULEMON ATHLETICA INC 18,330,604 -27,914 $6,938,134
     LULU18,330,604-27,914$6,938,134
REGENERON PHARMACEUTICALS 9,171,375 -268,721 $6,589,999
     REGN9,171,375-268,721$6,589,999
BOSTON SCIENTIFIC CORP 117,875,094 +3,814,634 $6,375,864
     BSX117,875,094+4,114,010$6,375,864
UBER TECHNOLOGIES INC      $6,231,590
     UBER144,136,945+9,761,871$6,222,392
     NOTE 12 110,085,000+4,700,000$9,198
BANK AMERICA CORP      $5,960,157
     BAC206,490,756-29,174,307$5,924,220
     BAC.PRL30,668-6,456$35,937
ADVANCED MICRO DEVICES INC 50,643,217 -1,516,937 $5,768,769
     AMD50,643,217-1,516,937$5,768,769
ON SEMICONDUCTOR CORP      $5,336,643
     ON56,081,368-136,610$5,304,176
     NOTE 5 017,679,000UNCH$32,467
DANAHER CORPORATION 22,145,009 +690,669 $5,314,802
     DHR22,145,009+690,714$5,314,802
NXP SEMICONDUCTORS N V 25,688,359 +397,724 $5,257,893
     NXPI25,688,359+397,724$5,257,893
LINDE PLC 13,564,844 +498,361 $5,169,290
     LIN13,564,844+498,361$5,169,290
VERTEX PHARMACEUTICALS INC 14,628,666 -1,647,189 $5,147,974
     VRTX14,628,666-1,647,189$5,147,974
ADOBE SYSTEMS INCORPORATED 10,507,203 -193,623 $5,137,917
     ADBE10,507,203-193,623$5,137,917
COMCAST CORP NEW 119,789,016 +2,024,487 $4,977,234
     CMCSA119,789,016+2,024,487$4,977,234
LOWES COS INC 22,026,903 -210,031 $4,971,472
     LOW22,026,903-210,031$4,971,472
HESS CORP 36,349,956 -3,888,947 $4,941,776
     HES36,349,956-3,888,947$4,941,776
COSTCO WHSL CORP NEW 9,081,320 -367,292 $4,889,201
     COST9,081,320-367,292$4,889,201
THERMO FISHER SCIENTIFIC INC 9,210,141 -2,143,903 $4,805,391
     TMO9,210,141-2,143,903$4,805,391
AMPHENOL CORP NEW 54,808,458 -945,612 $4,655,979
     APH54,808,458-945,612$4,655,979
MERCK & CO INC 38,964,646 +3,229,721 $4,496,131
     MRK38,964,646+3,229,721$4,496,131
COCA COLA CO 74,442,533 -5,229,507 $4,482,929
     KO74,442,533-5,229,507$4,482,929
TAIWAN SEMICONDUCTOR MFG LTD 42,350,049 +447,275 $4,273,967
     TSM42,350,049+447,275$4,273,967
BOEING CO 19,689,418 -2,042,729 $4,157,618
     BA19,689,418-2,042,729$4,157,618
ORACLE CORP 33,508,717 +9,138,827 $3,990,553
     ORCL33,508,717+9,138,827$3,990,553
THE CIGNA GROUP 14,027,809 -1,090,524 $3,936,203
     CI14,027,809-1,090,524$3,936,203
ACCENTURE PLC IRELAND 12,750,523 +326,801 $3,934,557
     ACN12,750,523+326,801$3,934,557
TJX COS INC NEW 45,971,720 -2,929,561 $3,897,942
     TJX45,971,720-2,929,561$3,897,942
PROCTER AND GAMBLE CO 24,760,338 +613,971 $3,757,134
     PG24,760,338+613,971$3,757,134
FREEPORT MCMORAN INC 91,319,012 -13,872,808 $3,652,760
     FCX91,319,012-13,872,808$3,652,760
MARSH & MCLENNAN COS INC 19,361,728 +794,799 $3,641,554
     MMC19,361,728+794,799$3,641,554
ISHARES TR (IEF) 37,007,168 +5,553,992 $3,574,892
     IEF37,007,168+5,553,992$3,574,892

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 06/30/2023: $1,192,785,222
At 03/31/2023: $1,095,101,457

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

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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