Entity | Amount | Change
09/30/2023 to 12/31/2023 |
Position Size ($ in 1000's) |
---|---|---|---|
APPLE INC | 4,457,048 | +62,246 | $858,115 |
AAPL | 4,457,048 | +62,246 | $858,115 |
MICROSOFT CORP | 2,230,469 | +4,227 | $838,746 |
MSFT | 2,230,469 | +4,227 | $838,746 |
NVIDIA CORP | 726,579 | -12,969 | $359,816 |
NVDA | 726,579 | -12,969 | $359,816 |
AMAZON.COM INC | 1,977,232 | +20,075 | $300,421 |
AMZN | 1,977,232 | +20,075 | $300,421 |
ALPHABET INC CL A | 1,841,477 | -21,004 | $257,236 |
GOOGL | 1,841,477 | -21,004 | $257,236 |
ALPHABET INC CL C | 1,661,446 | -25,748 | $234,148 |
GOOG | 1,661,446 | -25,748 | $234,148 |
ISHARES 20YEAR TREASURY BOND (TLT) | 2,000,000 | +2,000,000 | $197,760 |
TLT | 2,000,000 | +2,000,000 | $197,760 |
META PLATFORMS INC A | 513,283 | +4,774 | $181,682 |
META | 513,283 | +4,774 | $181,682 |
JP MORGAN CHASE & CO | 984,990 | -19,836 | $167,547 |
JPM | 984,990 | -19,836 | $167,547 |
UNITEDHEALTH GROUP INC | 287,797 | +2,461 | $151,516 |
UNH | 287,797 | +2,461 | $151,516 |
TESLA INC | 574,775 | -4,148 | $142,820 |
TSLA | 574,775 | -4,148 | $142,820 |
ELI LILLY & CO | 243,979 | -12,804 | $142,220 |
LLY | 243,979 | -12,804 | $142,220 |
VISA INC CLASS A SHARES (V) | 545,912 | +17,780 | $142,128 |
V | 545,912 | +17,780 | $142,128 |
MASTERCARD INC | 306,560 | +3,877 | $130,751 |
MA | 306,560 | +3,877 | $130,751 |
BROADCOM INC | 111,829 | -6,640 | $124,829 |
AVGO | 111,829 | -6,640 | $124,829 |
EXXON MOBIL CORP | 1,138,158 | +22,881 | $113,793 |
XOM | 1,138,158 | +22,881 | $113,793 |
PROCTER & GAMBLE CO | 736,962 | +10,966 | $107,994 |
PG | 736,962 | +10,966 | $107,994 |
JOHNSON & JOHNSON | 685,499 | -34,729 | $107,445 |
JNJ | 685,499 | -34,729 | $107,445 |
HOME DEPOT INC THE | 303,705 | +71 | $105,249 |
HD | 303,705 | +71 | $105,249 |
COSTCO WHOLESALE CORP COST | 158,378 | +10,174 | $104,542 |
COST | 158,378 | +10,174 | $104,542 |
ADOBE INC | 163,465 | -1,275 | $97,523 |
ADBE | 163,465 | -1,275 | $97,523 |
COMCAST CORP | 2,211,054 | +717,894 | $96,955 |
CMCSA | 2,211,054 | +717,894 | $96,955 |
BERKSHIRE HATHAWAY INC CL B | $94,072 | ||
BRK.B | 263,757 | -453 | $94,072 |
CHEVRON CORP | 531,896 | +11,277 | $79,338 |
CVX | 531,896 | +11,277 | $79,338 |
NETFLIX INC | 161,882 | -3,368 | $78,817 |
NFLX | 161,882 | -3,368 | $78,817 |
MERCK & CO INC | 719,479 | -30,511 | $78,438 |
MRK | 719,479 | -30,511 | $78,438 |
MCDONALD S CORP | 261,419 | +5,598 | $77,513 |
MCD | 261,419 | +5,598 | $77,513 |
BANK OF AMERICA CORP | 2,299,573 | +77,010 | $77,427 |
BAC | 2,299,573 | +77,010 | $77,427 |
PROLOGIS | 578,311 | -39,660 | $77,089 |
PLD | 578,311 | -39,660 | $77,089 |
WALMART INC | 470,672 | -29,556 | $74,201 |
WMT | 470,672 | -29,556 | $74,201 |
ABBVIE INC | 477,555 | -9,514 | $74,007 |
ABBV | 477,555 | -9,514 | $74,007 |
BOOKING HOLDINGS INC | 20,237 | +5,080 | $71,785 |
BKNG | 20,237 | +5,080 | $71,785 |
CISCO SYS INC | 1,404,990 | -131,626 | $70,980 |
CSCO | 1,404,990 | -131,626 | $70,980 |
INTUIT INC | 110,265 | -1,412 | $68,919 |
INTU | 110,265 | -1,412 | $68,919 |
THERMO FISHER SCIENTIFIC INC | 129,501 | +676 | $68,738 |
TMO | 129,501 | +676 | $68,738 |
ADVANCED MICRO DEVICES INC | 461,343 | -9,877 | $68,007 |
AMD | 461,343 | -9,877 | $68,007 |
ORACLE CORP | 635,408 | -49,240 | $66,991 |
ORCL | 635,408 | -49,240 | $66,991 |
PEPSICO INC | 389,779 | +1,665 | $66,200 |
PEP | 389,779 | +1,665 | $66,200 |
COCA COLA CO | 1,086,232 | +13,489 | $64,012 |
KO | 1,086,232 | +13,489 | $64,012 |
LINDE PLC | 151,523 | -2,163 | $62,232 |
LIN | 151,523 | -2,163 | $62,232 |
AMERICAN TOWER CORP | 287,406 | -1,222 | $62,045 |
AMT | 287,406 | -1,222 | $62,045 |
TEXAS INSTRUMENTS INC | 360,119 | -528 | $61,386 |
TXN | 360,119 | -528 | $61,386 |
INTEL CORP | 1,204,612 | +38,402 | $60,532 |
INTC | 1,204,612 | +38,402 | $60,532 |
ACCENTURE PLC CLASS A | 169,523 | -1,170 | $59,487 |
ACN | 169,523 | -1,170 | $59,487 |
ISHARES CORE MSCI EMERGING MAR (IEMG) | 1,133,893 | -30,700 | $57,352 |
IEMG | 1,133,893 | -30,700 | $57,352 |
AMGEN INC | 193,399 | +244 | $55,703 |
AMGN | 193,399 | +244 | $55,703 |
UNION PACIFIC CORP | 226,095 | -3,161 | $55,533 |
UNP | 226,095 | -3,161 | $55,533 |
ABBOTT LABORATORIES | 497,089 | -25,380 | $54,715 |
ABT | 497,089 | -25,380 | $54,715 |
QUALCOMM INC | 368,223 | +47,991 | $53,256 |
QCOM | 368,223 | +47,991 | $53,256 |
SALESFORCE INC | 201,576 | -38 | $53,043 |
CRM | 201,576 | -38 | $53,043 |
See Full List: All Stocks Held By Nisa Investment Advisors LLC
— Including:
Biggest new positions
Biggest exits
Biggest increased positions
Biggest decreased positions
See Details: Top 10 Stocks Held By Nisa Investment Advisors LLC
Size ($ in 1000's)
At 12/31/2023: $14,110,889 At 09/30/2023: $13,109,919 Nisa Investment Advisors LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Nisa Investment Advisors LLC 13F filings. Link to 13F filings: SEC filings |