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FMR LLC
Location Massachusetts
Latest Filing Date 2024-08-13
Latest Quarterly Report Date 2024-06-30
AUM in USD 1.6 tril.
Number of equities 5187
stockdot.io
+ - C

Assets Under Management in USD

1.0 mil. 22.0 mil. 485.9 mil. 10.7 bil. 236.1 bil. 5.2 tril.

Number of Holdings

1 6 39 251 1585 10002

Top 5187 holdings for FMR LLC

Stock Amount Change in
Shares 1 yr
Value in USD
NVIDIA Corp 1043901017 693.9% 129.0 bil.
MICROSOFT Corp 216686981 3.1% 96.8 bil.
APPLE Inc 345635357 12.6% 72.8 bil.
META PLATFORMS INC-CLASS A 138456403 10.1% 69.8 bil.
AMAZON.COM Inc 329314796 17.4% 63.6 bil.
ALPHABET INC-CL A 228428787 6.1% 41.6 bil.
ELI LILLY & CO 33488021 2.1% 30.3 bil.
BERKSHIRE HATHAWAY INC-CL A 33428 -0.1% 20.5 bil.
ALPHABET INC-CL C 109147111 -5.8% 20.0 bil.
EXXON MOBIL Corp 151468431 7.4% 17.4 bil.
UNITEDHEALTH GROUP Inc 32697703 -27.2% 16.7 bil.
NETFLIX Inc 21231497 -9.9% 14.3 bil.
VISA INC-CLASS A SHARES 53846325 11.9% 14.1 bil.
BROADCOM Inc 7402180 114.8% 11.9 bil.
WELLS FARGO & CO 189083392 7.2% 11.2 bil.
REGENERON PHARMACEUTICALS 10649474 16.1% 11.2 bil.
BOSTON SCIENTIFIC Corp 141460666 20.0% 10.9 bil.
GENERAL ELECTRIC CO 67654659 5.5% 10.8 bil.
JPMORGAN CHASE & CO 53105266 8.8% 10.7 bil.
MASTERCARD INC - A 20654312 -2.2% 9.1 bil.
MARVELL TECHNOLOGY Inc 129872973 0.7% 9.1 bil.
TAIWAN SEMICONDUCTOR-SP ADR 52190967 23.2% 9.1 bil.
BANK OF AMERICA Corp 200219692 -3.0% 8.0 bil.
SALESFORCE Inc 30326110 -19.9% 7.8 bil.
COSTCO WHOLESALE Corp 8983642 -1.1% 7.6 bil.
UBER TECHNOLOGIES Inc 104301562 -27.6% 7.6 bil.
NXP SEMICONDUCTORS NV 25542333 -0.6% 6.9 bil.
AMPHENOL CORP-CL A 101995313 86.1% 6.9 bil.
EATON CORP plc 20072342 37.0% 6.3 bil.
MERCK & CO. Inc 50653254 30.0% 6.3 bil.
MICRON TECHNOLOGY Inc 47097837 218.0% 6.2 bil.
ASML HOLDING NV-NY REG SHS 5899580 69.5% 6.0 bil.
LINDE plc 13636567 0.5% 6.0 bil.
ORACLE Corp 40039315 19.5% 5.7 bil.
LULULEMON ATHLETICA Inc 17901815 -2.3% 5.3 bil.
ADVANCED MICRO DEVICES 32616243 -35.6% 5.3 bil.
LOWE'S COS Inc 23610833 7.2% 5.2 bil.
THE COCA-COLA CO 81754381 9.8% 5.2 bil.
DANAHER Corp 20399793 -7.9% 5.1 bil.
VERTEX PHARMACEUTICALS Inc 10729428 -26.7% 5.0 bil.
ARISTA NETWORKS Inc 14232275 82.4% 5.0 bil.
ADOBE Inc 8902807 -15.3% 4.9 bil.
TESLA Inc 23912767 -16.9% 4.7 bil.
THE CIGNA GROUP 13950517 -0.6% 4.6 bil.
TJX COMPANIES Inc 41642190 -9.4% 4.6 bil.
INTUITIVE SURGICAL Inc 10132292 23.6% 4.5 bil.
SHELL PLC-ADR 62043596 175.3% 4.5 bil.
MARSH & MCLENNAN COS 20926925 8.1% 4.4 bil.
ON SEMICONDUCTOR 64097886 14.3% 4.4 bil.
LAM RESEARCH Corp 4107695 -3.9% 4.4 bil.
COMCAST CORP-CLASS A 111357670 -7.0% 4.4 bil.
THE BOEING CO 23913223 21.5% 4.4 bil.
THE PROCTER & GAMBLE CO 25867037 4.5% 4.3 bil.
GE VERNOVA Inc 23463470 NEW 4.0 bil.
SERVICENOW Inc 5103549 48.3% 4.0 bil.
BERKSHIRE HATHAWAY INC-CL B 9602530 -18.7% 3.9 bil.
CONSTELLATION ENERGY 19410601 -1.2% 3.9 bil.
WALMART Inc 55935635 259.6% 3.8 bil.
CHUBB LTD 14523486 5.9% 3.7 bil.
DECKERS OUTDOOR Corp 3816372 -2.7% 3.7 bil.
INTUIT Inc 5610575 4.5% 3.7 bil.
APPLIED MATERIALS Inc 15554990 32.8% 3.7 bil.
ISHARES CORE S&P 500 ETF 6699649 21.6% 3.7 bil.
THERMO FISHER SCIENTIFIC Inc 6583006 -28.5% 3.6 bil.
ISHARES RUSSELL 1000 GROWTH 9860525 -19.0% 3.6 bil.
ISHARES 7-10 YEAR TREASURY B 37020375 0.0% 3.5 bil.
SNAP INC - A 206764227 31.4% 3.4 bil.
AIRBNB INC-CLASS A 22343200 -2.5% 3.4 bil.
TRANE TECHNOLOGIES plc 9940135 94.5% 3.3 bil.
BOOKING HOLDINGS Inc 801879 -1.2% 3.2 bil.
FREEPORT-MCMORAN Inc 64779202 -29.1% 3.1 bil.
THE WALT DISNEY CO 31651279 252.1% 3.1 bil.
PURE STORAGE INC - CLASS A 48785154 5.8% 3.1 bil.
QUALCOMM Inc 15678254 2.2% 3.1 bil.
KEURIG DR PEPPER Inc 93077980 73.2% 3.1 bil.
CANADIAN NATURAL RESOURCES 85802536 72.1% 3.1 bil.
ARTHUR J GALLAGHER & CO 11725344 31.2% 3.0 bil.
ISHARES RUSSELL 1000 ETF 10087581 -14.6% 3.0 bil.
ALNYLAM PHARMACEUTICALS Inc 12164038 -2.6% 3.0 bil.
P G & E Corp 168235030 -2.2% 2.9 bil.
CADENCE DESIGN SYS Inc 9458531 -5.4% 2.9 bil.
NOVO-NORDISK A/S-SPONS ADR 19494642 259.5% 2.8 bil.
CISCO SYSTEMS Inc 58045582 4.9% 2.8 bil.
HOME DEPOT Inc 7883799 -15.7% 2.7 bil.
PNC FINANCIAL SERVICES GROUP 17163976 27.8% 2.7 bil.
SYNOPSYS Inc 4410003 19.1% 2.6 bil.
MONOLITHIC POWER SYSTEMS Inc 3157960 19.0% 2.6 bil.
ELEVANCE HEALTH Inc 4746833 7.7% 2.6 bil.
PDD HOLDINGS Inc 19275397 44.9% 2.6 bil.
THE TRAVELERS COS Inc 12479782 -29.1% 2.5 bil.
MODERNA Inc 21161285 374.1% 2.5 bil.
ISHARES MSCI USA QUALITY FAC 14688351 7.3% 2.5 bil.
S&P GLOBAL Inc 5595771 -12.3% 2.5 bil.
JOHNSON & JOHNSON 17051172 -18.4% 2.5 bil.
MOODY'S Corp 5857810 43.0% 2.5 bil.
COINBASE GLOBAL INC -CLASS A 11032887 1709.0% 2.5 bil.
KENVUE Inc 134840474 916.1% 2.5 bil.
GLOBALFOUNDRIES Inc 48215000 62.6% 2.4 bil.
IMPERIAL OIL LTD 35602392 29.2% 2.4 bil.
STRYKER Corp 7091212 21.7% 2.4 bil.