Slice of Stock

Institutional manager

Legal & General Group Plc

Holds positions in 488 of the S&P 500, worth $377.2bn as reported for the quarter ended 31-mar-2026.

Positions held488of 488 index companies covered
Reported value$377.2bnS&P 500 positions only
Top ten weight38%how concentrated the book is
Filing entities1single filer

Largest positions

The 60 biggest by reported value, of 488 held. The rest are smaller than every one of these.

NvidiaNVDA169.2m$29.5bnInformation TechnologyApple Inc.AAPL108.1m$27.4bnInformation TechnologyAlphabet Inc. (Class A)GOOGL68.6m$19.7bnCommunication ServicesMicrosoftMSFT50.3m$18.6bnInformation TechnologyAmazonAMZN55.5m$11.6bnConsumer DiscretionaryBroadcomAVGO32.2m$9.96bnInformation TechnologyMeta PlatformsMETA14.3m$8.18bnCommunication ServicesTesla, Inc.TSLA20.2m$7.51bnConsumer DiscretionaryJPMorgan ChaseJPM18.8m$5.54bnFinancialsLilly (Eli)LLY5.4m$4.95bnHealth CareJohnson & JohnsonJNJ19.3m$4.73bnHealth CareVisa Inc.V12.6m$3.79bnFinancialsWalmartWMT26.9m$3.35bnConsumer StaplesExxonMobilXOM19.4m$3.30bnEnergyBerkshire HathawayBRK.B5.9m$3.06bnFinancialsMastercardMA5.9m$2.94bnFinancialsCiscoCSCO34.4m$2.67bnInformation TechnologyAbbVieABBV12.2m$2.64bnHealth CareNetflixNFLX27.1m$2.60bnCommunication ServicesCostcoCOST2.5m$2.50bnConsumer StaplesMicron TechnologyMU7.4m$2.49bnInformation TechnologyLam ResearchLRCX11.1m$2.36bnInformation TechnologyMerck & Co.MRK19.5m$2.35bnHealth CareProcter & GamblePG16.2m$2.34bnConsumer StaplesAdvanced Micro DevicesAMD11.3m$2.29bnInformation TechnologyApplied MaterialsAMAT6.4m$2.19bnInformation TechnologyBank of AmericaBAC44.9m$2.19bnFinancialsChevron CorporationCVX10.1m$2.09bnEnergyPalantir TechnologiesPLTR13.9m$2.03bnInformation TechnologyCoca-Cola Company (The)KO26.5m$2.02bnConsumer StaplesHome Depot (The)HD6.1m$2.02bnConsumer DiscretionaryCaterpillar Inc.CAT2.8m$1.96bnIndustrialsGE AerospaceGE6.3m$1.80bnIndustrialsGoldman SachsGS2.1m$1.76bnFinancialsIBMIBM6.9m$1.68bnInformation TechnologyUnitedHealth GroupUNH6.1m$1.66bnHealth CareWells FargoWFC20.6m$1.64bnFinancialsCitigroupC13.6m$1.55bnFinancialsNextEra EnergyNEE16.6m$1.54bnUtilitiesGE VernovaGEV1.8m$1.54bnIndustrialsKLA CorporationKLAC1.0m$1.52bnInformation TechnologyOracle CorporationORCL10.3m$1.51bnInformation TechnologyPrologisPLD11.2m$1.48bnReal EstateMcDonald'sMCD4.7m$1.47bnConsumer DiscretionaryIntelINTC33.1m$1.46bnInformation TechnologyGilead SciencesGILD10.5m$1.46bnHealth CareLinde plcLIN2.9m$1.45bnMaterialsWelltowerWELL7.2m$1.43bnReal EstateVerizonVZ28.1m$1.41bnCommunication ServicesAT&TT48.0m$1.39bnCommunication ServicesPepsiCoPEP8.9m$1.38bnConsumer StaplesMorgan StanleyMS8.3m$1.37bnFinancialsAmgenAMGN3.9m$1.36bnHealth CareRTX CorporationRTX7.0m$1.36bnIndustrialsPhilip Morris InternationalPM7.9m$1.31bnConsumer StaplesAnalog DevicesADI4.0m$1.27bnInformation TechnologyAbbott LaboratoriesABT12.3m$1.26bnHealth CareTexas InstrumentsTXN6.3m$1.23bnInformation TechnologyQualcommQCOM9.5m$1.23bnInformation TechnologyPfizerPFE43.5m$1.22bnHealth Care

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.