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GOLDMAN SACHS GROUP INC
Location New York
Latest Filing Date 2024-08-13
Latest Quarterly Report Date 2024-06-30
AUM in USD 511.3 bil.
Number of equities 4547
stockdot.io
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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 4547 holdings for GOLDMAN SACHS GROUP INC

Stock Amount Change in
Shares 1 yr
Value in USD
MICROSOFT Corp 43577359 11.7% 19.5 bil.
APPLE Inc 90574800 7.8% 19.1 bil.
SPDR S&P 500 ETF TRUST 34440620 -9.2% 18.7 bil.
NVIDIA Corp 150691820 900.2% 18.6 bil.
AMAZON.COM Inc 53290633 3.4% 10.3 bil.
ALPHABET INC-CL A 50305994 3.8% 9.2 bil.
ISHARES CORE S&P 500 ETF 13158408 13.3% 7.2 bil.
VANGUARD S&P 500 ETF 12241321 17.4% 6.1 bil.
META PLATFORMS INC-CLASS A 11510613 17.1% 5.8 bil.
VISA INC-CLASS A SHARES 20284026 13.0% 5.3 bil.
ALPHABET INC-CL C 27522542 -1.4% 5.0 bil.
BROADCOM Inc 2848453 25.6% 4.6 bil.
ISHARES RUSSELL 2000 ETF 22399167 -22.7% 4.5 bil.
ELI LILLY & CO 4927940 1.8% 4.5 bil.
TESLA Inc 20091288 45.6% 4.0 bil.
JPMORGAN CHASE & CO 18289931 3.0% 3.7 bil.
ISHARES RUSSELL 1000 GROWTH 9525135 -0.2% 3.5 bil.
INVESCO QQQ TRUST SERIES 1 6678722 -10.9% 3.2 bil.
BERKSHIRE HATHAWAY INC-CL B 7823686 5.7% 3.2 bil.
THE PROCTER & GAMBLE CO 17213356 26.0% 2.8 bil.
ISHARES RUSSELL 1000 VALUE E 15786385 4.9% 2.8 bil.
ISHARES CORE U.S. AGGREGATE 27716999 39.0% 2.7 bil.
TEXAS INSTRUMENTS Inc 13747508 72.4% 2.7 bil.
COSTCO WHOLESALE Corp 3103570 16.2% 2.6 bil.
ISHARES MSCI EAFE ETF 33043008 -0.8% 2.6 bil.
UNITEDHEALTH GROUP Inc 4934030 2.0% 2.5 bil.
VANGUARD FTSE DEVELOPED ETF 50735346 18.2% 2.5 bil.
EXXON MOBIL Corp 21603240 37.6% 2.5 bil.
ISHARES CORE MSCI EAFE ETF 32216299 29.1% 2.3 bil.
APPLIED MATERIALS Inc 9339585 34.1% 2.2 bil.
ISHARES CORE MSCI EMERGING 40728298 -4.1% 2.2 bil.
SALESFORCE Inc 8348860 40.0% 2.1 bil.
INTUIT Inc 3209617 12.0% 2.1 bil.
ACCENTURE PLC-CL A 6790119 14.5% 2.1 bil.
ORACLE Corp 14392940 -6.8% 2.0 bil.
ABBVIE Inc 11610889 24.6% 2.0 bil.
MASTERCARD INC - A 4408575 6.4% 1.9 bil.
HOME DEPOT Inc 5532992 12.2% 1.9 bil.
ADOBE Inc 3417682 17.9% 1.9 bil.
KLA Corp 2269327 2.0% 1.9 bil.
LINDE plc 4062719 14.0% 1.8 bil.
CISCO SYSTEMS Inc 37029590 10.1% 1.8 bil.
ISHA CURR HEDGED MSCI EAFE 48734301 20.3% 1.7 bil.
NETFLIX Inc 2525149 11.4% 1.7 bil.
WALMART Inc 24961796 175.3% 1.7 bil.
PEPSICO Inc 10237911 45.6% 1.7 bil.
AMGEN Inc 5181630 79.2% 1.6 bil.
TAIWAN SEMICONDUCTOR-SP ADR 9133918 7.3% 1.6 bil.
JOHNSON & JOHNSON 10618072 3.3% 1.6 bil.
MERCK & CO. Inc 12532975 -0.2% 1.6 bil.
DANAHER Corp 6073289 129.4% 1.5 bil.
INVESCO S&P 500 EQUAL WEIGHT 9188056 46.3% 1.5 bil.
PDD HOLDINGS Inc 11194224 48.1% 1.5 bil.
MARVELL TECHNOLOGY Inc 21220253 26.3% 1.5 bil.
VANGUARD SHORT-TERM BOND ETF 19169752 50.2% 1.5 bil.
ISHARES CORE S&P SMALL-CAP E 12935179 32.0% 1.4 bil.
MORGAN STANLEY 13739561 23.5% 1.3 bil.
THERMO FISHER SCIENTIFIC Inc 2406448 15.6% 1.3 bil.
BANK OF AMERICA Corp 33343628 -19.5% 1.3 bil.
THE COCA-COLA CO 20726693 -3.4% 1.3 bil.
ADVANCED MICRO DEVICES 7984923 31.8% 1.3 bil.
GOLDMAN SACHS MARKETBETA US 17261374 196.3% 1.3 bil.
QUALCOMM Inc 6209082 27.8% 1.2 bil.
ENERGY TRANSFER LP 75962988 28.1% 1.2 bil.
S&P GLOBAL Inc 2682573 -11.7% 1.2 bil.
CATERPILLAR Inc 3540480 -1.2% 1.2 bil.
LAM RESEARCH Corp 1092522 44.1% 1.2 bil.
MICRON TECHNOLOGY Inc 8657223 82.9% 1.1 bil.
ROYAL BANK OF CANADA 10471482 222.4% 1.1 bil.
NIKE INC -CL B 14742985 37.7% 1.1 bil.
AMERICAN EXPRESS CO 4790625 25.3% 1.1 bil.
SPDR S&P BIOTECH ETF 11951617 15.9% 1.1 bil.
ISHARES MSCI EMERGING MARKET 25631754 137.0% 1.1 bil.
AMERICAN TOWER Corp 5607785 -18.5% 1.1 bil.
NEXTERA ENERGY Inc 15348363 20.7% 1.1 bil.
THE WALT DISNEY CO 10710357 10.2% 1.1 bil.
MCDONALD'S Corp 4162364 -6.1% 1.1 bil.
EATON CORP plc 3371473 -11.0% 1.1 bil.
VANGUARD TOTAL BOND MARKET 14575445 -7.8% 1.1 bil.
INTUITIVE SURGICAL Inc 2360396 14.9% 1.1 bil.
CHEVRON Corp 6677280 25.0% 1.0 bil.
ASML HOLDING NV-NY REG SHS 1018316 21.8% 1.0 bil.
ELEVANCE HEALTH Inc 1911817 -5.0% 1.0 bil.
BOSTON SCIENTIFIC Corp 13428809 -28.5% 1.0 bil.
HONEYWELL INTERNATIONAL Inc 4763357 46.5% 1.0 bil.
LOWE'S COS Inc 4589239 25.4% 1.0 bil.
AT&T Inc 52356277 39.9% 1.0 bil.
ABBOTT LABORATORIES 9563318 10.1% 993.7 mil.
TECHNOLOGY SELECT SECT SPDR 4368898 4.0% 988.4 mil.
PFIZER Inc 34916739 33.2% 977.0 mil.
ASTRAZENECA PLC-SPONS ADR 12496350 17.9% 974.6 mil.
UNITED PARCEL SERVICE-CL B 7086911 96.1% 969.8 mil.
VERTEX PHARMACEUTICALS Inc 2062499 13.6% 966.7 mil.
CONSUMER STAPLES SPDR 12477975 26.6% 955.6 mil.
TC ENERGY Corp 25177045 1208.2% 954.2 mil.
WASTE MANAGEMENT Inc 4469291 21.0% 953.5 mil.
PROGRESSIVE Corp 4525624 66.3% 940.0 mil.
INDUSTRIAL SELECT SECT SPDR 7684490 -43.3% 936.5 mil.
PALO ALTO NETWORKS Inc 2760660 -19.2% 935.9 mil.
RTX Corp 9307857 69.9% 934.4 mil.