Institution Information
Reportee Signature Date Report period Total Entries Total AUM($)
FMR LLC 11-13-2019 09-30-2019 9786 833,765,055,000
Institutional Holdings
Issuer Class Position Value Shares Portfolio Percentage (%) Previous Percentage (%) Shares Delta Shares Delta(%) Date Reported
MICROSOFT CORP COM 1 $33,817,777,000 243,240,860 4.06 3.83 -1,240,386 -0.51 09-30-2019
AMAZON COM INC COM 2 $28,997,304,000 16,704,382 3.48 3.70 -10,658 -0.06 09-30-2019
APPLE INC COM 3 $21,816,126,000 97,406,467 2.62 2.27 -644,184 -0.66 09-30-2019
FACEBOOK INC CL A 4 $21,267,854,000 119,428,648 2.55 2.69 78,180 0.07 09-30-2019
ALPHABET INC CAP STK CL A 5 $16,691,574,000 13,668,846 2.00 1.78 -421,041 -2.99 09-30-2019
VISA INC COM CL A 6 $15,672,950,000 91,116,495 1.88 1.87 -1,301,312 -1.41 09-30-2019
SALESFORCE COM INC COM 7 $13,998,804,000 94,306,147 1.68 1.59 4,685,523 5.23 09-30-2019
UNITEDHEALTH GROUP INC COM 8 $12,378,932,000 56,961,772 1.48 1.74 -4,223,739 -6.90 09-30-2019
MASTERCARD INC CL A 9 $11,334,824,000 41,738,132 1.36 1.30 -430,312 -1.02 09-30-2019
ALPHABET INC CAP STK CL C 10 $10,861,330,000 8,910,034 1.30 1.12 53,057 0.60 09-30-2019
ADOBE INC COM 11 $9,998,770,000 36,194,643 1.20 1.25 -218,332 -0.60 09-30-2019
BERKSHIRE HATHAWAY INC DEL CL A 12 $9,430,424,000 30,242 1.13 1.12 148 0.49 09-30-2019
NVIDIA CORP COM 13 $8,027,180,000 46,114,668 0.96 0.86 1,513,318 3.39 09-30-2019
BANK AMER CORP COM 14 $7,999,008,000 274,220,360 0.96 0.94 -4,586,161 -1.64 09-30-2019
PAYPAL HLDGS INC COM 15 $7,415,106,000 71,581,280 0.89 1.09 -9,949,507 -12.20 09-30-2019
JPMORGAN CHASE & CO COM 16 $6,509,415,000 55,309,840 0.78 0.81 -6,397,619 -10.37 09-30-2019
COMCAST CORP NEW CL A 17 $6,203,448,000 137,609,773 0.74 0.67 1,076,696 0.79 09-30-2019
NETFLIX INC COM 18 $5,934,662,000 22,175,707 0.71 1.11 -3,644,966 -14.12 09-30-2019
GENERAL ELECTRIC CO COM 19 $5,531,317,000 618,715,425 0.66 0.67 69,984,432 12.75 09-30-2019
BOSTON SCIENTIFIC CORP COM 20 $5,402,025,000 132,760,532 0.65 0.68 -2,150,193 -1.59 09-30-2019
HOME DEPOT INC COM 21 $4,901,975,000 21,127,376 0.59 0.50 462,811 2.24 09-30-2019
AMGEN INC COM 22 $4,721,386,000 24,398,668 0.57 0.46 2,884,241 13.41 09-30-2019
DISNEY WALT CO COM DISNEY 23 $4,670,845,000 35,841,351 0.56 0.57 772,661 2.20 09-30-2019
AMERICAN TOWER CORP NEW COM 24 $4,281,932,000 19,363,863 0.51 0.51 -2,175,154 -10.10 09-30-2019
BERKSHIRE HATHAWAY INC DEL CL B NEW 25 $4,246,731,000 20,415,016 0.51 0.51 2,412 0.01 09-30-2019
VERTEX PHARMACEUTICALS INC COM 26 $4,190,097,000 24,732,014 0.50 0.53 32,099 0.13 09-30-2019
QUALCOMM INC COM 27 $4,175,555,000 54,739,829 0.50 0.53 -4,672,784 -7.86 09-30-2019
MCDONALDS CORP COM 28 $4,153,143,000 19,343,033 0.50 0.52 -1,901,355 -8.95 09-30-2019
EXXON MOBIL CORP COM 29 $4,077,955,000 57,753,223 0.49 0.49 3,461,425 6.38 09-30-2019
DANAHER CORPORATION COM 30 $4,024,335,000 27,863,575 0.48 0.47 -14,137 -0.05 09-30-2019
AMPHENOL CORP NEW CL A 31 $3,774,389,000 39,112,827 0.45 0.47 -2,709,844 -6.48 09-30-2019
CITIGROUP INC COM NEW 32 $3,739,070,000 54,126,668 0.45 0.54 -11,615,406 -17.67 09-30-2019
THERMO FISHER SCIENTIFIC INC COM 33 $3,695,495,000 12,687,525 0.44 0.43 240,837 1.93 09-30-2019
ALIBABA GROUP HLDG LTD SPONSORED ADS 34 $3,619,547,000 21,644,131 0.43 0.47 -2,112,923 -8.89 09-30-2019
LULULEMON ATHLETICA INC COM 35 $3,556,248,000 18,471,134 0.43 0.39 36,929 0.20 09-30-2019
PROCTER & GAMBLE CO COM 36 $3,523,975,000 28,332,325 0.42 0.40 -3,003,118 -9.58 09-30-2019
LAUDER ESTEE COS INC CL A 37 $3,513,011,000 17,657,759 0.42 0.39 -431,768 -2.39 09-30-2019
INTUITIVE SURGICAL INC COM NEW 38 $3,489,362,000 6,462,617 0.42 0.41 -207,520 -3.11 09-30-2019
AMERICAN EXPRESS CO COM 39 $3,454,618,000 29,207,120 0.41 0.43 -535,485 -1.80 09-30-2019
WELLS FARGO CO NEW COM 40 $3,384,621,000 67,101,928 0.41 0.37 1,032,541 1.56 09-30-2019
COSTCO WHSL CORP NEW COM 41 $3,382,162,000 11,739,132 0.41 0.36 124,984 1.08 09-30-2019
COCA COLA CO COM 42 $3,357,603,000 61,675,297 0.40 0.34 3,860,078 6.68 09-30-2019
BECTON DICKINSON & CO COM 43 $3,272,713,000 12,937,667 0.39 0.41 -859,888 -6.23 09-30-2019
WALMART INC COM 44 $3,118,822,000 26,279,256 0.37 0.33 884,157 3.48 09-30-2019
SHOPIFY INC CL A 45 $2,858,442,000 9,185,080 0.34 0.32 2,414 0.03 09-30-2019
TJX COS INC NEW COM 46 $2,855,344,000 51,226,129 0.34 0.33 -1,427,830 -2.71 09-30-2019
ACTIVISION BLIZZARD INC COM 47 $2,846,315,000 53,785,252 0.34 0.28 2,517,237 4.91 09-30-2019
ABBVIE INC COM 48 $2,825,177,000 37,310,840 0.34 0.23 10,566,142 39.51 09-30-2019
WORKDAY INC CL A 49 $2,709,432,000 15,941,584 0.32 0.39 -178,460 -1.11 09-30-2019
NIKE INC CL B 50 $2,702,542,000 28,774,937 0.32 0.25 3,098,546 12.07 09-30-2019
ALTRIA GROUP INC COM 51 $2,693,781,000 65,862,604 0.32 0.34 4,611,347 7.53 09-30-2019
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