Entity | Amount | Change
09/30/2023 to 12/31/2023 |
Position Size ($ in 1000's) |
---|---|---|---|
APPLE INC | 38,461,077 | -739,727 | $7,404,911 |
AAPL | 38,461,077 | -739,727 | $7,404,911 |
MICROSOFT CORP | 19,423,121 | -204,394 | $7,303,870 |
MSFT | 19,423,121 | -204,394 | $7,303,870 |
AMAZON.COM INC | 23,710,474 | -159,066 | $3,602,569 |
AMZN | 23,710,474 | -159,066 | $3,602,569 |
NVIDIA CORP | 7,027,071 | -253,343 | $3,479,946 |
NVDA | 7,027,071 | -253,343 | $3,479,946 |
META PLATFORMS INC CLASS A | 6,185,193 | +114,712 | $2,189,311 |
META | 6,185,193 | +114,712 | $2,189,311 |
TESLA INC | 8,724,096 | -97,918 | $2,167,763 |
TSLA | 8,724,096 | -97,918 | $2,167,763 |
ALPHABET INC CL A | 14,788,015 | -174,459 | $2,065,738 |
GOOGL | 14,788,015 | -174,459 | $2,065,738 |
ALPHABET INC CL C | 14,303,451 | -340,847 | $2,015,785 |
GOOG | 14,303,451 | -340,847 | $2,015,785 |
UNITEDHEALTH GROUP INC | 2,724,270 | -54,621 | $1,434,246 |
UNH | 2,724,270 | -54,621 | $1,434,246 |
BROADCOM INC | 1,255,302 | +172,316 | $1,401,231 |
AVGO | 1,255,302 | +172,316 | $1,401,231 |
JPMORGAN CHASE & CO | 7,506,096 | -181,433 | $1,276,787 |
JPM | 7,506,096 | -181,433 | $1,276,787 |
ELI LILLY & CO | 2,103,206 | -43,976 | $1,226,001 |
LLY | 2,103,206 | -43,976 | $1,226,001 |
BERKSHIRE HATHAWAY INC CL B | $1,178,755 | ||
BRK.B | 3,146,755 | -63,029 | $1,122,322 |
BRK.A | 104 | -1 | $56,433 |
VISA INC CLASS A SHARES (V) | 4,259,674 | -89,356 | $1,109,006 |
V | 4,259,674 | -89,356 | $1,109,006 |
EXXON MOBIL CORP | 10,882,947 | +132,196 | $1,088,077 |
XOM | 10,882,947 | +132,196 | $1,088,077 |
JOHNSON & JOHNSON | 6,444,674 | -53,030 | $1,010,138 |
JNJ | 6,444,674 | -53,030 | $1,010,138 |
COINBASE GLOBAL INC CLASS A | 5,516,267 | -2,391,820 | $959,389 |
COIN | 5,516,267 | -2,391,820 | $959,389 |
HOME DEPOT INC | 2,724,453 | -63,296 | $944,159 |
HD | 2,724,453 | -63,296 | $944,159 |
MASTERCARD INC A | 2,113,194 | -33,923 | $901,298 |
MA | 2,113,194 | -33,923 | $901,298 |
PROCTER & GAMBLE CO THE | 6,093,888 | -84,100 | $892,998 |
PG | 6,093,888 | -84,100 | $892,998 |
ISHARES GOLD TRUST (IAU) | 21,572,711 | +121,364 | $841,983 |
IAU | 21,572,711 | +121,364 | $841,983 |
ADOBE INC | 1,366,578 | -22,035 | $815,300 |
ADBE | 1,366,578 | -22,035 | $815,300 |
BLOCK INC | 10,377,973 | +75,161 | $802,736 |
SQ | 10,377,973 | +75,161 | $802,736 |
ADVANCED MICRO DEVICES | 5,227,357 | -16,351 | $770,565 |
AMD | 5,227,357 | -16,351 | $770,565 |
COSTCO WHOLESALE CORP | 1,148,155 | -7,061 | $757,874 |
COST | 1,148,155 | -7,061 | $757,874 |
MERCK & CO. INC. | 6,774,195 | -118,169 | $738,523 |
MRK | 6,774,195 | -118,169 | $738,523 |
SALESFORCE INC | 2,803,754 | -65,221 | $737,780 |
CRM | 2,803,754 | -65,221 | $737,780 |
COCA COLA CO THE | 12,417,504 | +88,290 | $731,764 |
KO | 12,417,504 | +88,290 | $731,764 |
CHEVRON CORP | 4,799,268 | -47,761 | $715,859 |
CVX | 4,799,268 | -47,761 | $715,859 |
WALMART INC | 4,423,140 | -23,962 | $697,308 |
WMT | 4,423,140 | -23,962 | $697,308 |
ACCENTURE PLC CL A | 1,981,734 | -128,899 | $695,410 |
ACN | 1,981,734 | -128,899 | $695,410 |
ABBVIE INC | 4,428,439 | -15,453 | $686,275 |
ABBV | 4,428,439 | -15,453 | $686,275 |
PEPSICO INC | 3,894,900 | +33,193 | $661,510 |
PEP | 3,894,900 | +33,193 | $661,510 |
NETFLIX INC | 1,358,207 | -25,399 | $661,284 |
NFLX | 1,358,207 | -25,399 | $661,284 |
MCDONALD S CORP | 2,223,438 | +60,173 | $659,272 |
MCD | 2,223,438 | +60,173 | $659,272 |
SHOPIFY INC CLASS A | 8,369,221 | -495,430 | $652,561 |
SHOP | 8,369,221 | -495,430 | $652,561 |
PROLOGIS INC | 4,660,807 | +119,388 | $621,286 |
PLD | 4,660,807 | +119,388 | $621,286 |
THERMO FISHER SCIENTIFIC INC | 1,168,183 | -9,061 | $620,060 |
TMO | 1,168,183 | -9,061 | $620,060 |
CISCO SYSTEMS INC | 11,939,332 | -479,742 | $603,175 |
CSCO | 11,939,332 | -479,742 | $603,175 |
LINDE PLC | 1,440,898 | -86,338 | $591,791 |
LIN | 1,440,898 | -86,338 | $591,791 |
BANK OF AMERICA CORP | 17,222,883 | -233,434 | $579,894 |
BAC | 17,222,883 | -233,434 | $579,894 |
ABBOTT LABORATORIES | 5,159,295 | +81,392 | $567,884 |
ABT | 5,159,295 | +81,392 | $567,884 |
INTUIT INC | 903,655 | -12,170 | $564,811 |
INTU | 903,655 | -12,170 | $564,811 |
SPDR GOLD MINISHARES TRUST (GLDM) | 13,800,000 | -1,600,000 | $564,558 |
GLDM | 13,800,000 | -1,600,000 | $564,558 |
UIPATH INC CLASS A | 22,454,431 | -3,147,732 | $557,768 |
PATH | 22,454,431 | -3,147,732 | $557,768 |
ROKU INC | 5,891,142 | -587,772 | $539,982 |
ROKU | 5,891,142 | -587,772 | $539,982 |
INTEL CORP | 10,724,531 | -1,443,667 | $538,908 |
INTC | 10,724,531 | -1,443,667 | $538,908 |
QUALCOMM INC | 3,450,714 | +43,731 | $499,077 |
QCOM | 3,450,714 | +43,731 | $499,077 |
INTUITIVE SURGICAL INC | 1,469,270 | -4,981 | $495,673 |
ISRG | 1,469,270 | -4,981 | $495,673 |
APPLIED MATERIALS INC | 3,037,910 | -71,971 | $492,354 |
AMAT | 3,037,910 | -71,971 | $492,354 |
See Full List: All Stocks Held By Sumitomo Mitsui Trust Holdings Inc.
— Including:
Biggest new positions
Biggest exits
Biggest increased positions
Biggest decreased positions
See Details: Top 10 Stocks Held By Sumitomo Mitsui Trust Holdings Inc.
Size ($ in 1000's)
At 12/31/2023: $135,228,356 At 09/30/2023: $121,868,058 Combined Holding Report Includes:
Sumitomo Mitsui Trust Holdings Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Sumitomo Mitsui Trust Holdings Inc. 13F filings. Link to 13F filings: SEC filings |