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HSBC HOLDINGS PLC
Location United Kingdom
Latest Filing Date 2024-08-12
Latest Quarterly Report Date 2024-06-30
AUM in USD 155.2 bil.
Number of equities 2523
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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 2523 holdings for HSBC HOLDINGS PLC

Stock Amount Change in
Shares 1 yr
Value in USD
MICROSOFT Corp 27150716 49.5% 12.2 bil.
NVIDIA Corp 80036096 1152.4% 9.9 bil.
APPLE Inc 42541938 51.2% 9.0 bil.
AMAZON.COM Inc 26378106 41.7% 5.1 bil.
META PLATFORMS INC-CLASS A 7436415 57.7% 3.8 bil.
ALPHABET INC-CL A 18261428 34.0% 3.3 bil.
ALPHABET INC-CL C 17484302 42.0% 3.2 bil.
BROADCOM Inc 1452204 63.2% 2.3 bil.
ELI LILLY & CO 2279796 65.3% 2.1 bil.
JPMORGAN CHASE & CO 8439992 31.6% 1.7 bil.
SPDR S&P 500 ETF TRUST 3029126 460.8% 1.7 bil.
TESLA Inc 7962456 39.5% 1.6 bil.
BERKSHIRE HATHAWAY INC-CL B 3633737 61.6% 1.5 bil.
UNITEDHEALTH GROUP Inc 2908733 32.0% 1.5 bil.
JOHNSON & JOHNSON 9859096 31.0% 1.4 bil.
VISA INC-CLASS A SHARES 5270052 25.7% 1.4 bil.
EXXON MOBIL Corp 11874267 76.6% 1.4 bil.
HOME DEPOT Inc 3753495 28.4% 1.3 bil.
FLUTTER ENTERTAINMENT PLC-DI 6189639 NEW 1.1 bil.
MERCK & CO. Inc 8216348 17.3% 1.0 bil.
THE PROCTER & GAMBLE CO 6213640 16.2% 1.0 bil.
COSTCO WHOLESALE Corp 1153229 42.2% 980.7 mil.
SALESFORCE Inc 3583804 54.8% 922.1 mil.
FERROVIAL SE 23751293 NEW 921.7 mil.
PEPSICO Inc 5565806 27.8% 918.4 mil.
ADOBE Inc 1617948 30.6% 897.9 mil.
NETFLIX Inc 1328369 0.1% 897.2 mil.
CISCO SYSTEMS Inc 18616592 38.1% 885.1 mil.
QUALCOMM Inc 4414848 48.9% 879.2 mil.
ABBVIE Inc 4873162 31.3% 833.7 mil.
CHEVRON Corp 5236303 31.0% 820.2 mil.
WALMART Inc 11444377 245.6% 774.7 mil.
APPLIED MATERIALS Inc 3236930 52.6% 764.8 mil.
ADVANCED MICRO DEVICES 4670257 39.0% 756.4 mil.
THE COCA-COLA CO 11199779 16.4% 713.1 mil.
ALIBABA GROUP HOLDING-SP ADR 9683447 20.4% 697.5 mil.
TEXAS INSTRUMENTS Inc 3520689 41.9% 685.5 mil.
BANK OF AMERICA Corp 16361549 -18.0% 650.8 mil.
THERMO FISHER SCIENTIFIC Inc 1143912 47.4% 631.9 mil.
MCDONALD'S Corp 2393972 3.0% 610.8 mil.
THE WALT DISNEY CO 5984228 64.4% 594.4 mil.
AMGEN Inc 1887565 17.4% 590.2 mil.
MASTERCARD INC - A 1313587 20.3% 579.3 mil.
ORACLE Corp 3894355 98.8% 551.5 mil.
LAM RESEARCH Corp 504816 62.6% 539.0 mil.
GOLDMAN SACHS GROUP Inc 1184102 16.5% 535.3 mil.
PDD HOLDINGS Inc 3914151 -13.3% 520.4 mil.
INTUITIVE SURGICAL Inc 1163521 75.9% 517.9 mil.
PFIZER Inc 18350945 47.6% 513.4 mil.
WELLS FARGO & CO 8566018 23.8% 507.9 mil.
MICRON TECHNOLOGY Inc 3848991 33.3% 507.6 mil.
INTEL Corp 15776773 18.4% 488.5 mil.
ELEVANCE HEALTH Inc 885954 -0.1% 479.6 mil.
VERIZON COMMUNICATIONS Inc 11548822 24.5% 477.0 mil.
INTUIT Inc 724647 64.0% 476.3 mil.
COMCAST CORP-CLASS A 12077578 57.7% 472.6 mil.
INTL BUSINESS MACHINES Corp 2722356 15.9% 471.0 mil.
SERVICENOW Inc 590513 53.2% 464.1 mil.
HONEYWELL INTERNATIONAL Inc 2162328 10.4% 461.2 mil.
AMERICAN EXPRESS CO 1956948 32.2% 453.2 mil.
CITIGROUP Inc 7132269 35.6% 450.8 mil.
ABBOTT LABORATORIES 4328995 55.3% 450.5 mil.
CATERPILLAR Inc 1302055 23.4% 433.0 mil.
DANAHER Corp 1709109 8.0% 427.8 mil.
VERTEX PHARMACEUTICALS Inc 904742 32.6% 425.1 mil.
UNION PACIFIC Corp 1816010 64.6% 411.3 mil.
KLA Corp 487196 26.2% 402.2 mil.
GENERAL DYNAMICS Corp 1347247 153.9% 391.1 mil.
S&P GLOBAL Inc 872881 30.0% 388.9 mil.
BLACKROCK Inc 493663 -17.0% 388.7 mil.
REGENERON PHARMACEUTICALS 365925 20.9% 384.3 mil.
GENERAL ELECTRIC CO 2410846 82.8% 383.4 mil.
CONOCOPHILLIPS 3290892 51.5% 376.7 mil.
TJX COMPANIES Inc 3360007 21.8% 370.5 mil.
GILEAD SCIENCES Inc 5324369 67.3% 365.7 mil.
PROLOGIS Inc 3082850 25.0% 345.7 mil.
LOWE'S COS Inc 1529913 20.7% 337.5 mil.
UBER TECHNOLOGIES Inc 4621913 352.7% 335.5 mil.
AT&T Inc 17230703 48.5% 329.0 mil.
PHILIP MORRIS INTERNATIONAL 3230837 32.6% 327.3 mil.
AUTOMATIC DATA PROCESSING 1353555 64.5% 323.3 mil.
MORGAN STANLEY 3261248 0.0% 316.6 mil.
WASTE MANAGEMENT Inc 1453140 54.0% 310.2 mil.
BOOKING HOLDINGS Inc 75148 14.0% 298.1 mil.
PALO ALTO NETWORKS Inc 857896 55.0% 290.7 mil.
ISHARES IBOXX INVESTMENT GRA 2685525 347.1% 288.3 mil.
PROGRESSIVE Corp 1350703 63.5% 281.8 mil.
EQUITABLE HOLDINGS Inc 6840185 1853.8% 279.4 mil.
MARSH & MCLENNAN COS 1319365 49.7% 278.2 mil.
NIKE INC -CL B 3670339 16.4% 277.1 mil.
LINDE plc 613203 2.8% 270.0 mil.
ANALOG DEVICES Inc 1182178 67.1% 270.0 mil.
BLACKSTONE Inc 2178005 217.7% 269.9 mil.
STARBUCKS Corp 3458375 59.5% 269.6 mil.
AMERICAN TOWER Corp 1384771 70.4% 269.3 mil.
COLGATE-PALMOLIVE CO 2722737 21.0% 264.2 mil.
TAIWAN SEMICONDUCTOR-SP ADR 1518788 76.4% 263.8 mil.
THE BOEING CO 1448543 35.1% 263.7 mil.
COPART Inc 4746032 257.3% 257.9 mil.
CHENIERE ENERGY Inc 1474484 92.4% 257.6 mil.