Entity | Amount | Change
09/30/2023 to 12/31/2023 |
Position Size ($ in 1000's) |
---|---|---|---|
MICROSOFT CORP | $7,444,817 | ||
MSFT | 19,329,873 | +1,012,483 | $7,266,794 |
Call | 716,500 | -10,100 | $269,363 |
Put | 242,900 | -270,300 | $91,340 |
APPLE INC | $6,583,917 | ||
AAPL | 33,424,475 | +4,559,428 | $6,428,844 |
Call | 959,700 | +599,400 | $184,142 |
Put | 151,500 | -12,800 | $29,069 |
NVIDIA CORPORATION | $3,234,810 | ||
NVDA | 6,230,273 | +238,484 | $3,081,720 |
Call | 387,500 | +90,300 | $191,475 |
Put | 77,700 | +10,200 | $38,385 |
AMAZON COM INC | $3,005,827 | ||
AMZN | 19,548,669 | +1,009,889 | $2,971,007 |
Call | 229,200 | +229,200 | $34,866 |
Put | 300 | UNCH | $46 |
ALPHABET INC | $2,078,713 | ||
GOOGL | 14,440,761 | +1,444,935 | $2,016,323 |
Call | 447,500 | +425,900 | $62,390 |
ALPHABET INC | $1,880,462 | ||
GOOG | 12,609,122 | +861,817 | $1,776,694 |
Call | 852,100 | -149,000 | $120,086 |
Put | 115,900 | -56,400 | $16,318 |
TESLA INC | $1,777,621 | ||
TSLA | 6,122,068 | +832,860 | $1,520,939 |
Call | 1,292,200 | +261,000 | $320,779 |
Put | 258,300 | +43,900 | $64,097 |
META PLATFORMS INC | $1,706,494 | ||
META | 4,686,763 | +349,100 | $1,659,521 |
Call | 185,200 | +34,300 | $65,556 |
Put | 52,500 | +20,000 | $18,583 |
UNITEDHEALTH GROUP INC | $1,305,720 | ||
UNH | 2,373,514 | -76,718 | $1,249,181 |
Call | 120,600 | +23,200 | $63,484 |
Put | 13,200 | +10,500 | $6,945 |
VISA INC | $1,299,608 | ||
V | 4,915,060 | +324,437 | $1,279,617 |
Call | 114,300 | +12,900 | $29,754 |
Put | 37,500 | +37,500 | $9,763 |
JOHNSON & JOHNSON | $1,297,405 | ||
JNJ | 8,242,166 | +808,280 | $1,290,839 |
Call | 42,000 | -13,300 | $6,566 |
BERKSHIRE HATHAWAY INC DEL | $1,162,598 | ||
BRK.B | 3,032,186 | +336,119 | $1,080,404 |
BRK.A | 152 | -21 | $82,479 |
Put | 14,300 | -12,400 | $5,089 |
Call | 13,500 | -4,900 | $4,804 |
JPMORGAN CHASE & CO | $1,148,274 | ||
JPM | 6,699,380 | -161,065 | $1,139,245 |
Call | 141,700 | -10,900 | $24,087 |
Put | 88,600 | -116,400 | $15,058 |
BROADCOM INC | $1,138,895 | ||
AVGO | 1,029,700 | +204,148 | $1,150,080 |
Put | 19,600 | -19,500 | $21,922 |
Call | 9,600 | -17,500 | $10,737 |
SPDR S&P 500 ETF TR (SPY) | $1,106,129 | ||
SPY | 2,790,589 | +1,989,960 | $1,326,104 |
Put | 473,700 | -888,500 | $224,719 |
Call | 10,000 | -112,000 | $4,744 |
HOME DEPOT INC | $1,013,447 | ||
HD | 2,932,923 | +70,247 | $1,014,535 |
Put | 27,700 | +15,600 | $9,546 |
Call | 24,500 | -1,500 | $8,458 |
ELI LILLY & CO | $998,400 | ||
LLY | 1,748,653 | +238,660 | $1,018,577 |
Put | 38,300 | +38,142 | $22,270 |
Call | 3,600 | -2,500 | $2,093 |
CISCO SYS INC | $818,684 | ||
CSCO | 16,165,090 | +1,728,483 | $816,365 |
Call | 237,300 | -34,400 | $11,973 |
Put | 191,500 | +108,700 | $9,654 |
ADOBE INC | $803,376 | ||
ADBE | 1,287,460 | +144,519 | $767,898 |
Call | 72,000 | -18,600 | $42,936 |
Put | 12,500 | +5,000 | $7,458 |
EXXON MOBIL CORP | $789,476 | ||
XOM | 7,988,134 | +1,467,815 | $798,696 |
Put | 234,100 | +234,100 | $23,408 |
Call | 141,900 | +42,300 | $14,188 |
PROCTER AND GAMBLE CO | $765,233 | ||
PG | 5,177,276 | -102,178 | $758,385 |
Call | 53,800 | -16,100 | $7,874 |
Put | 7,000 | -2,000 | $1,026 |
MERCK & CO INC | $730,520 | ||
MRK | 6,676,276 | +402,728 | $727,709 |
Call | 25,800 | +1,700 | $2,811 |
BANK AMERICA CORP | $724,331 | ||
BAC | 21,492,522 | -908,916 | $723,329 |
Call | 29,800 | -1,362,100 | $1,002 |
SALESFORCE INC | $708,261 | ||
CRM | 2,687,273 | +122,854 | $707,371 |
Call | 59,100 | +3,800 | $15,556 |
Put | 55,700 | -12,800 | $14,666 |
PEPSICO INC | $678,551 | ||
PEP | 3,941,070 | +401,915 | $669,255 |
Call | 82,100 | +43,200 | $13,927 |
Put | 27,300 | +27,300 | $4,631 |
ABBVIE INC | $638,201 | ||
ABBV | 4,139,114 | +311,349 | $640,843 |
Put | 67,000 | -2,700 | $10,353 |
Call | 49,900 | UNCH | $7,711 |
INTEL CORP | $635,520 | ||
INTC | 12,090,727 | +825,816 | $608,186 |
Call | 757,100 | -40,600 | $38,092 |
Put | 213,300 | -8,300 | $10,758 |
CHEVRON CORP NEW | $634,226 | ||
CVX | 4,231,691 | +128,697 | $631,257 |
Call | 19,900 | -1,100 | $2,969 |
COGNIZANT TECHNOLOGY SOLUTIO | 8,023,710 | -371,127 | $604,132 |
CTSH | 8,023,710 | -277,027 | $604,132 |
COSTCO WHSL CORP NEW | $590,789 | ||
COST | 894,133 | +159,752 | $590,063 |
Call | 13,900 | -2,200 | $9,165 |
Put | 12,800 | UNCH | $8,439 |
COCA COLA CO | $567,696 | ||
KO | 9,586,064 | +164,536 | $564,649 |
Call | 145,400 | +82,700 | $8,551 |
Put | 93,400 | -3,600 | $5,504 |
ADVANCED MICRO DEVICES INC | $563,117 | ||
AMD | 2,999,888 | +203,197 | $442,636 |
Call | 882,500 | +234,300 | $130,491 |
Put | 67,700 | -28,500 | $10,010 |
MCDONALDS CORP | $562,764 | ||
MCD | 1,837,701 | -290,317 | $544,724 |
Call | 60,900 | -17,000 | $18,040 |
ALIBABA GROUP HLDG LTD | $556,157 | ||
BABA | 7,677,329 | +676,640 | $594,697 |
Put | 579,500 | -921,043 | $44,679 |
Call | 79,200 | -49,900 | $6,139 |
WALMART INC | $505,982 | ||
WMT | 3,209,085 | -126,881 | $505,762 |
Call | 23,800 | -17,800 | $3,748 |
Put | 22,400 | -33,700 | $3,528 |
MASTERCARD INCORPORATED | 1,160,487 | +35,337 | $494,982 |
MA | 1,160,487 | +40,937 | $494,982 |
NETFLIX INC | $492,853 | ||
NFLX | 946,004 | +30,331 | $460,068 |
Call | 95,400 | +13,300 | $46,428 |
Put | 28,100 | -28,700 | $13,643 |
TEXAS INSTRS INC | $472,134 | ||
TXN | 2,706,187 | +549,925 | $461,404 |
Call | 112,000 | +7,500 | $19,092 |
Put | 49,000 | UNCH | $8,362 |
VERIZON COMMUNICATIONS INC | $453,079 | ||
VZ | 10,969,878 | +548,213 | $413,322 |
Call | 1,164,100 | +43,000 | $43,788 |
Put | 107,200 | UNCH | $4,031 |
QUALCOMM INC | $448,358 | ||
QCOM | 2,822,415 | -78,579 | $408,301 |
Call | 280,900 | -15,800 | $40,636 |
Put | 4,000 | -2,600 | $579 |
THERMO FISHER SCIENTIFIC INC | $444,925 | ||
TMO | 866,646 | +66,755 | $460,040 |
Put | 38,600 | +33,600 | $20,474 |
Call | 10,100 | +10,100 | $5,359 |
BLACKROCK INC | $444,667 | ||
BLK | 546,253 | -20,585 | $443,124 |
Call | 6,000 | +2,600 | $4,864 |
Put | 4,100 | -2,000 | $3,321 |
PFIZER INC | $441,401 | ||
PFE | 14,694,935 | +2,196,700 | $422,028 |
Call | 676,100 | +118,600 | $19,373 |
INTERNATIONAL BUSINESS MACHS | $422,425 | ||
IBM | 2,568,303 | +810,051 | $419,764 |
Call | 57,100 | -35,000 | $9,317 |
Put | 40,800 | UNCH | $6,656 |
PDD HOLDINGS INC | 2,883,200 | +1,507,973 | $421,842 |
PDD | 2,883,200 | +964,213 | $421,842 |
CATERPILLAR INC | $415,297 | ||
CAT | 1,386,882 | +358,994 | $409,600 |
Call | 34,400 | +4,400 | $10,153 |
Put | 15,100 | +15,100 | $4,456 |
GOLDMAN SACHS GROUP INC | $403,482 | ||
GS | 1,056,371 | +54,761 | $407,291 |
Put | 15,700 | -5,900 | $6,046 |
Call | 5,800 | -31,000 | $2,237 |
AMGEN INC | $400,959 | ||
AMGN | 1,468,045 | +216,588 | $422,336 |
Put | 118,300 | +50,800 | $33,990 |
Call | 43,900 | +33,300 | $12,613 |
DISNEY WALT CO | $391,897 | ||
DIS | 4,054,436 | +318,489 | $365,977 |
Call | 297,200 | -184,600 | $26,823 |
Put | 10,000 | -29,000 | $903 |
PROLOGIS INC. | 2,873,369 | +141,005 | $383,501 |
PLD | 2,873,369 | +141,005 | $383,501 |
See Full List: All Stocks Held By Hsbc Holdings PLC
— Including:
Biggest new positions
Biggest exits
Biggest increased positions
Biggest decreased positions
See Details: Top 10 Stocks Held By Hsbc Holdings PLC
Size ($ in 1000's)
At 12/31/2023: $114,695,167 At 09/30/2023: $96,105,565 Combined Holding Report Includes:
Hsbc Holdings PLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Hsbc Holdings PLC 13F filings. Link to 13F filings: SEC filings |