Q3 2024 |
3,349 |
$412B |
+$17.2B |
-$11.6B |
+$5.64B |
AAPL, NVDA, MSFT, AMZN, META
|
13F-HR |
11/7/2024, 12:58 PM |
Q2 2024 |
3,374 |
$383B |
+$34.6B |
-$9.35B |
+$25.3B |
NVDA, AAPL, MSFT, AMZN, JPM
|
13F-HR |
8/9/2024, 01:56 PM |
Q1 2024 |
3,387 |
$369B |
+$12.9B |
-$11.6B |
+$1.23B |
MSFT, AAPL, NVDA, AMZN, JPM
|
13F-HR |
5/10/2024, 10:03 AM |
Q4 2023 |
3,412 |
$342B |
+$13.2B |
-$10.2B |
+$2.94B |
AAPL, MSFT, AMZN, JPM, XOM
|
13F-HR |
2/7/2024, 02:11 PM |
Q3 2023 |
3,467 |
$305B |
+$10B |
-$8.75B |
+$1.28B |
AAPL, MSFT, XOM, META, JPM
|
13F-HR |
11/9/2023, 11:19 AM |
Q2 2023 |
3,483 |
$314B |
+$9.67B |
-$7.13B |
+$2.53B |
AAPL, MSFT, XOM, AMZN, META
|
13F-HR |
8/9/2023, 01:42 PM |
Q1 2023 |
3,462 |
$297B |
+$10.7B |
-$17.5B |
-$6.88B |
AAPL, MSFT, XOM, JPM, AMZN
|
13F-HR |
5/12/2023, 09:14 AM |
Q4 2022 |
3,514 |
$294B |
+$17.2B |
-$8.82B |
+$8.34B |
DFSB, AAPL, MSFT, XOM, JPM
|
13F-HR |
2/9/2023, 02:49 PM |
Q3 2022 |
3,518 |
$260B |
+$11.8B |
-$6.89B |
+$4.93B |
AAPL, MSFT, AMZN, XOM, JPM
|
13F-HR |
11/10/2022, 01:03 PM |
Q2 2022 |
3,485 |
$273B |
+$10.9B |
-$8.3B |
+$2.62B |
AAPL, MSFT, AMZN, JPM, XOM
|
13F-HR |
8/12/2022, 09:26 AM |
Q1 2022 |
3,509 |
$322B |
+$12.9B |
-$9.05B |
+$3.82B |
AAPL, MSFT, AMZN, JPM, BRKB
|
13F-HR |
5/13/2022, 08:45 AM |
Q4 2021 |
3,537 |
$331B |
+$6.25B |
-$11.3B |
-$5.05B |
AAPL, MSFT, AMZN, JPM, PFE
|
13F-HR |
2/9/2022, 09:56 AM |
Q3 2021 |
3,498 |
$310B |
+$8.5B |
-$8.75B |
-$250M |
AAPL, MSFT, AMZN, JPM, META
|
13F-HR |
11/12/2021, 10:34 AM |
Q2 2021 |
3,459 |
$316B |
+$7.67B |
-$10.9B |
-$3.23B |
AAPL, MSFT, AMZN, JPM, CMCSA
|
13F-HR |
8/12/2021, 01:38 PM |
Q1 2021 |
3,408 |
$302B |
+$5.82B |
-$13.7B |
-$7.85B |
AAPL, MSFT, AMZN, JPM, INTC
|
13F-HR |
5/14/2021, 10:36 AM |
Q4 2020 |
3,342 |
$277B |
+$6.61B |
-$9.48B |
-$2.86B |
AAPL, MSFT, AMZN, JPM, CMCSA
|
Restatement |
3/8/2021, 11:47 AM |
Q4 2020 |
3,342 |
$277B |
$0 |
$0 |
|
AAPL, MSFT, AMZN, JPM, CMCSA
|
New Holdings |
2/25/2021, 03:32 PM |
Q3 2020 |
3,331 |
$236B |
+$9.39B |
-$8.43B |
+$963M |
AAPL, MSFT, AMZN, CMCSA, INTC
|
13F-HR |
11/12/2020, 01:52 PM |
Q2 2020 |
3,338 |
$228B |
+$7.43B |
-$9.68B |
-$2.25B |
AAPL, MSFT, AMZN, INTC, T
|
13F-HR |
8/13/2020, 02:18 PM |
Q1 2020 |
3,374 |
$192B |
+$4.83B |
-$7.69B |
-$2.86B |
AAPL, MSFT, AMZN, INTC, T
|
13F-HR |
5/14/2020, 01:31 PM |
Q4 2019 |
3,379 |
$274B |
+$5.53B |
-$8.7B |
-$3.17B |
AAPL, MSFT, JPM, T, INTC
|
13F-HR |
2/14/2020, 09:12 AM |
Q3 2019 |
3,417 |
$257B |
+$7.31B |
-$7.28B |
+$23.2M |
AAPL, MSFT, T, JPM, INTC
|
13F-HR |
11/12/2019, 03:45 PM |
Q2 2019 |
3,463 |
$258B |
+$7.6B |
-$6.59B |
+$1.01B |
AAPL, MSFT, JPM, T, AMZN
|
13F-HR |
8/13/2019, 11:14 AM |
Q1 2019 |
3,445 |
$251B |
+$8.69B |
-$5.21B |
+$3.48B |
AAPL, INTC, XOM, MSFT, T
|
Restatement |
8/12/2019, 04:25 PM |
Q4 2018 |
3,448 |
$221B |
+$9.79B |
-$8.84B |
+$951M |
AAPL, INTC, PFE, T, XOM
|
Restatement |
2/26/2019, 02:25 PM |
Q3 2018 |
3,425 |
$263B |
+$9.06B |
-$6.88B |
+$2.18B |
AAPL, XOM, T, JPM, AMZN
|
13F-HR |
11/13/2018, 09:19 AM |
Q2 2018 |
3,366 |
$251B |
+$10.8B |
-$7.65B |
+$3.17B |
AAPL, JPM, T, XOM, INTC
|
13F-HR |
8/10/2018, 08:55 AM |
Q1 2018 |
3,344 |
$240B |
+$9.44B |
-$5.49B |
+$3.95B |
JPM, AAPL, INTC, T, XOM
|
13F-HR |
5/11/2018, 09:40 AM |
Q4 2017 |
3,323 |
$241B |
+$8.91B |
-$7.67B |
+$1.25B |
JPM, AAPL, T, XOM, WFC
|
13F-HR |
2/12/2018, 10:53 AM |
Q3 2017 |
3,335 |
$229B |
+$8.9B |
-$6.32B |
+$2.58B |
JPM, T, AAPL, XOM, CMCSA
|
13F-HR |
11/13/2017, 08:53 AM |
Q2 2017 |
3,311 |
$217B |
+$11B |
-$5.62B |
+$5.35B |
JPM, T, AAPL, XOM, CMCSA
|
13F-HR |
8/11/2017, 04:07 PM |
Q1 2017 |
3,300 |
$209B |
+$12B |
-$6.58B |
+$5.47B |
T, JPM, AAPL, XOM, CMCSA
|
13F-HR |
5/12/2017, 05:13 PM |
Q4 2016 |
3,289 |
$200B |
+$7.96B |
-$6.56B |
+$1.41B |
T, JPM, XOM, AAPL, CMCSA
|
13F-HR |
2/9/2017, 04:54 PM |
Q3 2016 |
3,276 |
$185B |
+$8.68B |
-$5.76B |
+$2.93B |
T, XOM, AAPL, JPM, CMCSA
|
13F-HR |
11/10/2016, 02:09 PM |
Q2 2016 |
3,290 |
$174B |
+$8.88B |
-$5.53B |
+$3.35B |
XOM, T, CMCSA, JPM, AAPL
|
13F-HR |
8/9/2016, 03:18 PM |
Q1 2016 |
3,299 |
$167B |
+$9.42B |
-$4.73B |
+$4.69B |
XOM, T, AAPL, CMCSA, JPM
|
13F-HR |
5/13/2016, 02:07 PM |
Q4 2015 |
3,329 |
$160B |
+$9.95B |
-$5.84B |
+$4.12B |
XOM, T, JPM, CMCSA, AAPL
|
13F-HR |
2/10/2016, 02:40 PM |
Q3 2015 |
3,369 |
$152B |
+$9.76B |
-$4.89B |
+$4.86B |
XOM, T, JPM, AAPL, PFE
|
13F-HR |
11/13/2015, 04:33 PM |
Q2 2015 |
3,363 |
$163B |
+$10.4B |
-$4.25B |
+$6.11B |
T, XOM, GE, JPM, AAPL
|
13F-HR |
8/14/2015, 11:31 AM |
Q1 2015 |
5 |
$103M |
$0 |
$0 |
|
TYC, CMPR, EGL, ZG, RMCF
|
New Holdings |
11/16/2015, 05:53 PM |
Q1 2015 |
3,331 |
$158B |
+$9.3B |
-$4.84B |
+$4.46B |
XOM, T, GE, PFE, JPM
|
13F-HR |
5/14/2015, 01:51 PM |
Q4 2014 |
2 |
$70.1M |
$0 |
$0 |
|
TYC, CMPR
|
New Holdings |
11/16/2015, 05:52 PM |
Q4 2014 |
3,513 |
$152B |
+$9.62B |
-$3.23B |
+$6.39B |
XOM, T, JPM, CVX, PFE
|
13F-HR |
2/6/2015, 05:21 PM |
Q3 2014 |
3,543 |
$141B |
+$6.54B |
-$3.56B |
+$2.98B |
T, XOM, CVX, JPM, PFE
|
13F-HR |
11/13/2014, 11:38 AM |
Q2 2014 |
3,590 |
$144B |
+$10.3B |
-$3.54B |
+$6.72B |
CVX, T, XOM, JPM, PFE
|
13F-HR |
8/8/2014, 11:59 AM |
Q1 2014 |
3,594 |
$134B |
+$7.53B |
-$3.23B |
+$4.3B |
CVX, JPM, T, XOM, BAC
|
13F-HR |
5/14/2014, 04:08 PM |
Q4 2013 |
3,540 |
$128B |
$0 |
$0 |
|
CVX, BAC, T, C, GE
|
13F-HR |
2/12/2014, 04:41 PM |