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CITIGROUP INC
Location New York
Latest Filing Date 2024-08-12
Latest Quarterly Report Date 2024-06-30
AUM in USD 103.6 bil.
Number of equities 4570
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 4570 holdings for CITIGROUP INC

Stock Amount Change in
Shares 1 yr
Value in USD
NVIDIA Corp 37270682 918.2% 4.6 bil.
MICROSOFT Corp 9380101 10.8% 4.2 bil.
APPLE Inc 17358917 18.1% 3.7 bil.
AMAZON.COM Inc 13745143 39.1% 2.7 bil.
BROADCOM Inc 1118773 23.5% 1.8 bil.
ALPHABET INC-CL A 8165918 -13.3% 1.5 bil.
META PLATFORMS INC-CLASS A 2549839 -26.5% 1.3 bil.
ALPHABET INC-CL C 6735743 7.3% 1.2 bil.
TESLA Inc 5928282 90.6% 1.2 bil.
VISA INC-CLASS A SHARES 3628854 41.7% 952.5 mil.
ADVANCED MICRO DEVICES 5457052 30.1% 885.2 mil.
VANGUARD S&P 500 ETF 1718705 23.2% 859.6 mil.
INTEL Corp 27708035 212.2% 858.1 mil.
FLUTTER ENTERTAINMENT PLC-DI 4689575 NEW 857.5 mil.
MERCK & CO. Inc 6656934 64.6% 824.1 mil.
INVESCO QQQ TRUST SERIES 1 1704426 -25.5% 816.6 mil.
APPLIED MATERIALS Inc 3400607 74.2% 802.5 mil.
ISHARES RUSSELL 2000 ETF 3903989 361.3% 792.1 mil.
JPMORGAN CHASE & CO 3537143 10.2% 715.4 mil.
UNITEDHEALTH GROUP Inc 1395809 -11.2% 710.8 mil.
QUALCOMM Inc 3525911 62.6% 702.3 mil.
ELI LILLY & CO 774634 12.1% 701.3 mil.
INDUSTRIAL SELECT SECT SPDR 5573641 50.0% 679.3 mil.
SPDR S&P BIOTECH ETF 7257438 49.4% 672.8 mil.
BERKSHIRE HATHAWAY INC-CL B 1648918 20.8% 670.8 mil.
THERMO FISHER SCIENTIFIC Inc 1120713 90.7% 619.8 mil.
EXXON MOBIL Corp 5321606 87.4% 612.6 mil.
ADOBE Inc 1026454 63.3% 570.2 mil.
COSTCO WHOLESALE Corp 645214 58.4% 548.4 mil.
THE PROCTER & GAMBLE CO 3224256 3.3% 531.7 mil.
LAM RESEARCH Corp 488874 53.6% 520.6 mil.
UNITED THERAPEUTICS Corp 1625605 2188.1% 517.8 mil.
TEXAS INSTRUMENTS Inc 2571119 55.0% 500.2 mil.
RTX Corp 4752053 86.0% 477.1 mil.
MICRON TECHNOLOGY Inc 3509375 39.0% 461.6 mil.
PEPSICO Inc 2714728 40.3% 447.7 mil.
NETFLIX Inc 660274 77.1% 445.6 mil.
HOME DEPOT Inc 1278816 30.7% 440.2 mil.
CHEVRON Corp 2744325 27.7% 429.3 mil.
ISHARES BIOTECHNOLOGY ETF 3088621 31.2% 423.9 mil.
KLA Corp 499311 75.6% 411.7 mil.
ISHARES 20+ YEAR TREASURY BD 4479391 -24.4% 411.1 mil.
VANGUARD RUSSELL 1000 GROWTH 4349291 -5.7% 408.0 mil.
CISCO SYSTEMS Inc 8572733 21.7% 407.3 mil.
ABBVIE Inc 2371557 -29.6% 406.8 mil.
ANALOG DEVICES Inc 1714029 45.0% 391.2 mil.
SPDR S&P 500 ETF TRUST 694056 -81.7% 377.7 mil.
BANK OF AMERICA Corp 9444753 -23.6% 375.6 mil.
LINDE plc 837209 -22.2% 367.4 mil.
COMCAST CORP-CLASS A 9366961 53.4% 366.8 mil.
NXP SEMICONDUCTORS NV 1349440 100.5% 363.1 mil.
ISHARES CORE MSCI EMERGING 6745534 38.6% 361.1 mil.
ASML HOLDING NV-NY REG SHS 352643 94.4% 360.7 mil.
ISHARES CHINA LARGE-CAP ETF 13459425 287.3% 349.8 mil.
JOHNSON & JOHNSON 2362726 18.9% 345.3 mil.
FERROVIAL SE 8850504 NEW 343.9 mil.
WALMART Inc 5068650 199.5% 343.2 mil.
ORACLE Corp 2414408 -30.0% 340.9 mil.
SALESFORCE Inc 1298123 44.3% 333.7 mil.
MICROCHIP TECHNOLOGY Inc 3611061 85.2% 330.4 mil.
INTUIT Inc 498090 84.8% 327.3 mil.
HEALTH CARE SELECT SECTOR 2213158 76.0% 322.6 mil.
ISHARES U.S. MEDICAL DEVICES 5755159 30227.0% 322.5 mil.
ISHARES CORE MSCI DEV MKTS 4848825 44.1% 318.3 mil.
TARGET Corp 2136786 152.8% 316.3 mil.
ISHARES CORE U.S. AGGREGATE 3217592 21.8% 312.3 mil.
MARVELL TECHNOLOGY Inc 4427557 112.1% 309.5 mil.
INVESCO S&P 500 EQUAL WEIGHT 1883533 325.7% 309.4 mil.
WESTROCK CO 6133440 941.2% 308.3 mil.
ABBOTT LABORATORIES 2959138 -1.5% 307.5 mil.
THE COCA-COLA CO 4794135 -6.9% 305.1 mil.
FREEPORT-MCMORAN Inc 6140424 46.9% 298.4 mil.
THE WALT DISNEY CO 3004167 20.2% 298.3 mil.
VANGUARD FTSE DEVELOPED ETF 5885916 -14.7% 290.9 mil.
TAIWAN SEMICONDUCTOR-SP ADR 1646955 -16.0% 286.3 mil.
MCDONALD'S Corp 1105994 -19.5% 281.9 mil.
MASTERCARD INC - A 629987 3.2% 277.9 mil.
VANGUARD FTSE EMERGING MARKE 6344719 -2.4% 277.6 mil.
PALO ALTO NETWORKS Inc 806135 25.4% 273.3 mil.
SERVICENOW Inc 346772 52.7% 272.8 mil.
MONOLITHIC POWER SYSTEMS Inc 329832 80.2% 271.0 mil.
SPDR GOLD SHARES 1245831 229.7% 267.9 mil.
T-MOBILE US Inc 1512270 92.1% 266.4 mil.
SPDR S&P REGIONAL BANKING 5262052 100.3% 258.4 mil.
STARBUCKS Corp 3298078 242.2% 256.8 mil.
CATERPILLAR Inc 747231 -19.5% 248.9 mil.
ISHARES IBOXX HIGH YLD Corp 3204155 30.2% 247.2 mil.
AMGEN Inc 788509 18.1% 246.4 mil.
ON SEMICONDUCTOR 3577101 96.3% 245.2 mil.
MONDELEZ INTERNATIONAL INC-A 3704647 1.5% 242.4 mil.
ACCENTURE PLC-CL A 794507 18.1% 241.1 mil.
VERIZON COMMUNICATIONS Inc 5842753 3.6% 241.0 mil.
CADENCE DESIGN SYS Inc 764740 129.9% 235.3 mil.
INTUITIVE SURGICAL Inc 526448 45.6% 234.2 mil.
ALIBABA GROUP HOLDING-SP ADR 3164194 170.7% 227.8 mil.
VANGUARD TOTAL STOCK MKT ETF 847269 -82.3% 226.7 mil.
VERTEX PHARMACEUTICALS Inc 479607 3.6% 224.8 mil.
ISHARES RUSSELL 1000 GROWTH 608147 -10.8% 221.7 mil.
INTL BUSINESS MACHINES Corp 1277427 21.0% 220.9 mil.
CHARTER COMMUNICATIONS INC-A 726295 25.3% 217.1 mil.