Slice of Stock

Institutional manager

FMR LLC

Holds positions in 487 of the S&P 500, worth $1.41tn as reported for the quarter ended 31-mar-2026.

Positions held487of 488 index companies covered
Reported value$1.41tnS&P 500 positions only
Top ten weight47%how concentrated the book is
Filing entities1single filer

Largest positions

The 60 biggest by reported value, of 487 held. The rest are smaller than every one of these.

NvidiaNVDA993.9m$173.3bnInformation TechnologyAlphabet Inc. (Class A)GOOGL345.1m$99.2bnCommunication ServicesApple Inc.AAPL307.4m$78.0bnInformation TechnologyAmazonAMZN358.7m$74.7bnConsumer DiscretionaryMicrosoftMSFT190.2m$70.4bnInformation TechnologyMeta PlatformsMETA116.6m$66.7bnCommunication ServicesBroadcomAVGO124.1m$38.4bnInformation TechnologyLilly (Eli)LLY26.3m$24.2bnHealth CareExxonMobilXOM140.0m$23.8bnEnergyNetflixNFLX204.7m$19.7bnCommunication ServicesBerkshire HathawayBRK.B15.0m$19.4bnFinancialsGE VernovaGEV18.3m$16.0bnIndustrialsGE AerospaceGE51.6m$14.6bnIndustrialsVisa Inc.V44.9m$13.6bnFinancialsTesla, Inc.TSLA36.0m$13.4bnConsumer DiscretionaryMarvell TechnologyMRVL131.3m$13.0bnInformation TechnologyWells FargoWFC161.7m$12.9bnFinancialsMastercardMA24.3m$12.1bnFinancialsBoeingBA65.9m$11.9bnIndustrialsMicron TechnologyMU32.1m$10.8bnInformation TechnologyAmphenolAPH79.5m$10.0bnInformation TechnologyGilead SciencesGILD71.9m$10.0bnHealth CareBank of AmericaBAC198.5m$9.68bnFinancialsJPMorgan ChaseJPM31.4m$9.25bnFinancialsWestern DigitalWDC31.6m$8.55bnInformation TechnologySandiskSNDK13.4m$8.51bnInformation TechnologyCienaCIEN21.2m$8.23bnInformation TechnologyCoca-Cola Company (The)KO107.6m$8.18bnConsumer StaplesLowe'sLOW31.9m$7.53bnConsumer DiscretionaryPhilip Morris InternationalPM44.8m$7.40bnConsumer StaplesLam ResearchLRCX33.6m$7.17bnInformation TechnologyCostcoCOST6.7m$6.69bnConsumer StaplesKLA CorporationKLAC4.4m$6.48bnInformation TechnologyArista NetworksANET52.3m$6.42bnInformation TechnologyState Street CorporationSTT71.5m$6.35bnFinancialsAppLovinAPP15.7m$6.25bnCommunication ServicesJohnson & JohnsonJNJ24.8m$6.06bnHealth CareCoherent Corp.COHR22.7m$5.40bnInformation TechnologyMerck & Co.MRK44.5m$5.35bnHealth CareThermo Fisher ScientificTMO10.8m$5.30bnHealth CareCiscoCSCO67.4m$5.23bnInformation TechnologyNXP SemiconductorsNXPI25.1m$4.95bnInformation TechnologyWabtecWAB19.7m$4.93bnIndustrialsMonolithic Power SystemsMPWR4.4m$4.81bnInformation TechnologyAbbVieABBV21.8m$4.73bnHealth CareBoston ScientificBSX74.2m$4.66bnHealth CareHome Depot (The)HD13.7m$4.51bnConsumer DiscretionaryLinde plcLIN9.0m$4.46bnMaterialsProcter & GamblePG30.7m$4.44bnConsumer StaplesTJX CompaniesTJX27.5m$4.40bnConsumer DiscretionaryWelltowerWELL22.2m$4.38bnReal EstateDanaher CorporationDHR22.5m$4.27bnHealth CareTrane TechnologiesTT9.9m$4.11bnIndustrialsCRH plcCRH38.9m$4.09bnMaterialsChubb LimitedCB12.2m$3.98bnFinancialsWalmartWMT31.8m$3.95bnConsumer StaplesConocoPhillipsCOP29.4m$3.88bnEnergyKeurig Dr PepperKDP145.6m$3.83bnConsumer StaplesMorgan StanleyMS22.7m$3.74bnFinancialsDeere & CompanyDE6.5m$3.68bnIndustrials

What this page is not

Positions in S&P 500 constituents only, from 13F filings, which report US listed, long, US custodied holdings. A manager's real book is larger than this in every case: anything outside the index, outside US custody, held through derivatives, or below its reporting obligation is not here.