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

   EntityAmountChange
 12/31/2018 to 03/31/2019
Position Size
($ in 1000's)
AMAZON COM INC 47,289 +3,412 $84,210
     AMZN47,289+3,412$84,210
VERIZON COMMUNICATIONS INC 1,128,583 +864,453 $66,733
     VZ1,128,583+864,453$66,733
MICROSOFT CORP 534,914 +12,330 $63,088
     MSFT534,914+12,330$63,088
APPLE INC 314,033 +5,426 $59,651
     AAPL314,033+5,426$59,651
FACEBOOK INC 260,593 +15,994 $43,438
     FB260,593+15,994$43,438
AMGEN INC 212,921 -1,604 $40,451
     AMGN212,921-1,604$40,451
ALPHABET INC 32,164 +2,295 $37,737
     GOOG32,164+2,295$37,737
ALPHABET INC 29,661 +2,282 $34,907
     GOOGL29,661+2,282$34,907
ABBVIE INC 426,604 -470 $34,379
     ABBV426,604-470$34,379
INTEL CORP 599,104 +106,537 $32,172
     INTC599,104+106,537$32,172
GILEAD SCIENCES INC 434,164 +846 $28,225
     GILD434,164+846$28,225
NETFLIX INC 68,292 +3,027 $24,350
     NFLX68,292+3,027$24,350
CELGENE CORP 239,952 +5,044 $22,637
     CELG239,952+5,044$22,637
CISCO SYS INC 377,559 +25,644 $20,384
     CSCO377,559+25,644$20,384
PAYPAL HLDGS INC 191,265 +21,136 $19,861
     PYPL191,265+21,136$19,861
JOHNSON & JOHNSON 131,264 +20,004 $18,349
     JNJ131,264+20,004$18,349
VERTEX PHARMACEUTICALS INC 87,710 +1,342 $16,134
     VRTX87,710+1,342$16,134
BIOGEN INC 67,244 -562 $15,895
     BIIB67,244-562$15,895
BROADCOM INC 52,575 +8,145 $15,810
     AVGO52,575+8,145$15,810
ILLUMINA INC 50,433 +794 $15,669
     ILMN50,433+794$15,669
ALIBABA GROUP HLDG LTD 81,967 +25,300 $14,955
     BABA81,967+25,300$14,955
COMCAST CORP NEW 359,880 +1,712 $14,388
     CMCSA359,880+1,712$14,388
NVIDIA CORP 79,661 +14,982 $14,304
     NVDA79,661+14,982$14,304
EXXON MOBIL CORP 169,330 -1,544 $13,682
     XOM169,330-1,544$13,682
SALESFORCE COM INC 83,332 +11,667 $13,197
     CRM83,332+11,667$13,197
TEXAS INSTRS INC 123,695 +21,414 $13,120
     TXN123,695+21,414$13,120
PFIZER INC 307,854 +59,385 $13,075
     PFE307,854+59,385$13,075
PEPSICO INC 98,741 +1,765 $12,101
     PEP98,741+1,765$12,101
REGENERON PHARMACEUTICALS 28,327 +647 $11,632
     REGN28,327+647$11,632
ALEXION PHARMACEUTICALS INC 76,670 +1,355 $10,364
     ALXN76,670+1,355$10,364
UNITEDHEALTH GROUP INC 39,369 +2,542 $9,734
     UNH39,369+2,542$9,734
ADOBE INC 36,144 +1,016 $9,632
     ADBE36,144+1,016$9,632
CHEVRON CORP NEW 76,522 -1,314 $9,426
     CVX76,522-1,314$9,426
MERCK & CO INC 112,231 -5,752 $9,334
     MRK112,231-5,752$9,334
EBAY INC 250,943 +8,982 $9,320
     EBAY250,943+8,982$9,320
QUALCOMM INC 159,065 +30,497 $9,071
     QCOM159,065+30,497$9,071
JPMORGAN CHASE & CO 89,233 +3,574 $9,033
     JPM89,233+3,574$9,033
T MOBILE US INC 129,637 +66,224 $8,958
     TMUS129,637+66,224$8,958
COSTCO WHSL CORP NEW 34,724 +430 $8,408
     COST34,724+430$8,408
STARBUCKS CORP 99,756 +1,473 $7,416
     SBUX99,756+1,473$7,416
NEXTERA ENERGY INC 38,253 -8,929 $7,395
     NEE38,253-8,929$7,395
AGILENT TECHNOLOGIES INC 91,864 +1,342 $7,384
     A91,864+1,342$7,384
TAIWAN SEMICONDUCTOR MFG LTD 176,039 +46,267 $7,211
     TSM176,039+46,267$7,211
VERISIGN INC 39,469 +4,189 $7,166
     VRSN39,469+4,189$7,166
BERKSHIRE HATHAWAY INC DEL      $6,964
     BRK.B34,666+2,485$6,964
TWITTER INC 208,038 +53,652 $6,840
     TWTR208,038+53,652$6,840
HOME DEPOT INC 35,575 +1,311 $6,826
     HD35,575+1,311$6,826
BAIDU INC 41,396 +9,266 $6,824
     BIDU41,396+9,266$6,824
IQVIA HLDGS INC 45,852 +745 $6,596
     IQV45,852+745$6,596
ARISTA NETWORKS INC 20,506 +2,843 $6,448
     ANET20,506+2,843$6,448

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

See Details: Top 10 Stocks Held By Profund Advisors LLC

Size ($ in 1000's)
At 03/31/2019: $2,079,913
At 12/31/2018: $1,616,822

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

Profund Advisors LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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