MSFT |
Microsoft Corp |
COM |
Equity |
$2.36T |
+$51.7B |
AAPL |
Apple Inc. |
COM |
Equity |
$1.95T |
+$44.8B |
NVDA |
Nvidia Corp |
COM |
Equity |
$1.94T |
+$1.73T |
AMZN |
Amazon Com Inc |
COM |
Equity |
$1.25T |
+$46.7B |
META |
Meta Platforms, Inc. |
CL A |
Equity |
$839B |
+$13.5B |
GOOGL |
Alphabet Inc. |
CAP STK CL A |
Equity |
$827B |
+$21.8B |
LLY |
ELI LILLY & Co |
COM |
Equity |
$706B |
+$11B |
GOOG |
Alphabet Inc. |
CAP STK CL C |
Equity |
$610B |
+$6.23B |
AVGO |
Broadcom Inc. |
COM |
Equity |
$558B |
+$3.93B |
JPM |
Jpmorgan Chase & Co |
COM |
Equity |
$415B |
+$5.53B |
UNH |
Unitedhealth Group Inc |
COM |
Equity |
$411B |
+$10.2B |
V |
Visa Inc. |
COM CL A |
Equity |
$398B |
+$5.37B |
IVV |
Ishares Tr |
CORE S&P500 ETF |
Equity |
$359B |
+$15.4B |
BRKB |
Berkshire Hathaway Inc |
CL B NEW |
Equity |
$348B |
+$9.61B |
XOM |
Exxon Mobil Corp |
COM |
Equity |
$326B |
+$46.3B |
MA |
Mastercard Inc |
CL A |
Equity |
$314B |
+$6.52B |
SPY |
Spdr S&P 500 Etf Trust |
TR UNIT |
Equity |
$297B |
-$15.4B |
TSLA |
Tesla, Inc. |
COM |
Equity |
$281B |
+$14.5B |
PG |
PROCTER & GAMBLE Co |
COM |
Equity |
$261B |
+$8.27B |
COST |
Costco Wholesale Corp /New |
COM |
Equity |
$258B |
+$5.18B |
JNJ |
Johnson & Johnson |
COM |
Equity |
$249B |
+$8.13B |
MRK |
Merck & Co., Inc. |
COM |
Equity |
$241B |
+$5.2B |
HD |
Home Depot, Inc. |
COM |
Equity |
$241B |
+$3.15B |
NFLX |
Netflix Inc |
COM |
Equity |
$237B |
+$4.5B |
BAC |
Bank Of America Corp /De/ |
COM |
Equity |
$224B |
+$5.29B |
ABBV |
AbbVie Inc. |
COM |
Equity |
$216B |
+$5.8B |
CVX |
Chevron Corp |
COM |
Equity |
$214B |
+$6.69B |
ADBE |
Adobe Inc. |
COM |
Equity |
$201B |
+$2.67B |
CRM |
Salesforce, Inc. |
COM |
Equity |
$198B |
+$39.4M |
KO |
Coca Cola Co |
COM |
Equity |
$196B |
+$7.12B |
TMO |
Thermo Fisher Scientific Inc. |
COM |
Equity |
$187B |
+$4.9B |
WMT |
Walmart Inc. |
COM |
Equity |
$187B |
+$6.59B |
AMD |
Advanced Micro Devices Inc |
COM |
Equity |
$178B |
+$3.09B |
VOO |
Vanguard Index Fds |
S&P 500 ETF SHS |
Equity |
$178B |
+$7.15B |
QCOM |
Qualcomm Inc/De |
COM |
Equity |
$169B |
+$5.1B |
LIN |
Linde Plc |
SHS |
Equity |
$169B |
+$370M |
ORCL |
Oracle Corp |
COM |
Equity |
$169B |
+$4.44B |
PEP |
Pepsico Inc |
COM |
Equity |
$167B |
+$4.49B |
TXN |
Texas Instruments Inc |
COM |
Equity |
$157B |
+$5.42B |
AMAT |
Applied Materials Inc /De |
COM |
Equity |
$155B |
+$4.77B |
INTU |
Intuit Inc. |
COM |
Equity |
$154B |
+$3.51B |
WFC |
Wells Fargo & Company/Mn |
COM |
Equity |
$153B |
-$2.86B |
DHR |
Danaher Corp /De/ |
COM |
Equity |
$145B |
+$220M |
TSM |
Taiwan Semiconductor Manufacturing Co Ltd |
SPONSORED ADS |
Equity |
$145B |
+$55.7M |
ACN |
Accenture plc |
SHS CLASS A |
Equity |
$142B |
-$535M |
CSCO |
Cisco Systems, Inc. |
COM |
Equity |
$142B |
+$1.51B |
NOW |
ServiceNow, Inc. |
COM |
Equity |
$142B |
+$3.4B |
AXP |
American Express Co |
COM |
Equity |
$139B |
+$1.3B |
ABT |
Abbott Laboratories |
COM |
Equity |
$137B |
+$3.86B |
GE |
General Electric Co |
COM NEW |
Equity |
$135B |
+$4.94B |
ISRG |
Intuitive Surgical Inc |
COM NEW |
Equity |
$135B |
+$4.29B |
MS |
Morgan Stanley |
COM NEW |
Equity |
$131B |
+$910M |
MCD |
Mcdonalds Corp |
COM |
Equity |
$129B |
+$1.9B |
AMGN |
Amgen Inc |
COM |
Equity |
$128B |
+$2.3B |
CMCSA |
Comcast Corp |
CL A |
Equity |
$127B |
-$282M |
PM |
Philip Morris International Inc. |
COM |
Equity |
$125B |
+$2.02B |
UBER |
Uber Technologies, Inc |
COM |
Equity |
$125B |
+$3.22B |
DIS |
Walt Disney Co |
COM |
Equity |
$122B |
+$487M |
SPGI |
S&P Global Inc. |
COM |
Equity |
$121B |
+$2.71B |
BKNG |
Booking Holdings Inc. |
COM |
Equity |
$121B |
+$579M |
NEE |
Nextera Energy Inc |
COM |
Equity |
$117B |
+$6.08B |
LRCX |
Lam Research Corp |
COM |
Equity |
$116B |
+$1.17B |
MU |
Micron Technology Inc |
COM |
Equity |
$115B |
-$699M |
CAT |
Caterpillar Inc |
COM |
Equity |
$114B |
+$667M |
VTI |
Vanguard Index Fds |
TOTAL STK MKT |
Equity |
$113B |
+$824M |
TJX |
Tjx Companies Inc /De/ |
COM |
Equity |
$112B |
+$724M |
ELV |
Elevance Health, Inc. |
COM |
Equity |
$112B |
+$2.75B |
SCHW |
Schwab Charles Corp |
COM |
Equity |
$110B |
+$1.47B |
RTX |
RTX Corp |
COM |
Equity |
$110B |
-$96.5M |
UNP |
Union Pacific Corp |
COM |
Equity |
$110B |
+$2.54B |
VRTX |
Vertex Pharmaceuticals Inc / Ma |
COM |
Equity |
$110B |
+$1.8B |
COP |
Conocophillips |
COM |
Equity |
$110B |
+$77.4M |
VZ |
Verizon Communications Inc |
COM |
Equity |
$108B |
+$2.26B |
QQQ |
Invesco Qqq Trust, Series 1 |
UNIT SER 1 |
Equity |
$107B |
-$4.48B |
HON |
Honeywell International Inc |
COM |
Equity |
$107B |
+$829M |
GS |
Goldman Sachs Group Inc |
COM |
Equity |
$105B |
-$990M |
PFE |
Pfizer Inc |
COM |
Equity |
$104B |
+$848M |
PGR |
Progressive Corp/Oh/ |
COM |
Equity |
$103B |
+$1.19B |
ETN |
Eaton Corp plc |
SHS |
Equity |
$103B |
+$938M |
BSX |
Boston Scientific Corp |
COM |
Equity |
$102B |
+$2.36B |
VEA |
Vanguard Tax Managed Fds |
VAN FTSE DEV MKT |
Equity |
$102B |
+$2.4B |
SYK |
Stryker Corp |
COM |
Equity |
$100B |
+$2.37B |
ADI |
Analog Devices Inc |
COM |
Equity |
$100B |
+$2.93B |
REGN |
Regeneron Pharmaceuticals, Inc. |
COM |
Equity |
$98.6B |
+$2.51B |
IEFA |
Ishares Tr |
CORE MSCI EAFE |
Equity |
$98.5B |
-$1.18B |
KLAC |
Kla Corp |
COM NEW |
Equity |
$96.7B |
+$1.22B |
PLD |
Prologis, Inc. |
COM |
Equity |
$95.9B |
+$183M |
AGG |
Ishares Tr |
CORE US AGGBD ET |
Equity |
$95.7B |
+$6.19B |
IBM |
International Business Machines Corp |
COM |
Equity |
$94.9B |
+$1.63B |
LOW |
Lowes Companies Inc |
COM |
Equity |
$93.8B |
+$1.57B |
BLK |
BlackRock Inc. |
COM |
Equity |
$93.4B |
+$1.12B |
CB |
Chubb Ltd |
COM |
Equity |
$91.9B |
+$1.22B |
MMC |
Marsh & Mclennan Companies, Inc. |
COM |
Equity |
$91.9B |
+$1.92B |
TMUS |
T-Mobile US, Inc. |
COM |
Equity |
$91.6B |
+$540M |
C |
Citigroup Inc |
COM NEW |
Equity |
$88.4B |
+$2.04B |
VUG |
Vanguard Index Fds |
GROWTH ETF |
Equity |
$86.6B |
+$5.08B |
INTC |
Intel Corp |
COM |
Equity |
$83.9B |
-$798M |
AMT |
American Tower Corp /Ma/ |
COM |
Equity |
$83.6B |
+$1.38B |
PANW |
Palo Alto Networks Inc |
COM |
Equity |
$83.6B |
+$2.42B |
MDT |
Medtronic plc |
SHS |
Equity |
$83.4B |
-$1.44B |