Institution Information
Reportee Signature Date Report period Total Entries Total AUM($)
FMR LLC 08-13-2019 06-30-2019 9790 856,190,928,000
Institutional Holdings
Issuer Class Position Value Shares Portfolio Percentage (%) Previous Percentage (%) Shares Delta Shares Delta(%)
MICROSOFT CORP COM 1 $32,750,707,000 244,481,246 3.83 3.55 -7,077,509 -2.81
AMAZON COM INC COM 2 $31,652,102,000 16,715,040 3.70 3.55 59,475 0.36
FACEBOOK INC CL A 3 $23,034,639,000 119,350,468 2.69 2.30 4,277,584 3.72
APPLE INC COM 4 $19,406,184,000 98,050,651 2.27 2.30 -2,948,893 -2.92
VISA INC COM CL A 5 $16,039,110,000 92,417,807 1.87 1.73 161,958 0.18
ALPHABET INC CAP STK CL A 6 $15,256,529,000 14,089,887 1.78 2.16 -1,204,029 -7.87
UNITEDHEALTH GROUP INC COM 7 $14,929,876,000 61,185,511 1.74 1.87 -1,924,817 -3.05
SALESFORCE COM INC COM 8 $13,598,138,000 89,620,624 1.59 1.70 -95,650 -0.11
MASTERCARD INC CL A 9 $11,154,818,000 42,168,444 1.30 1.14 1,727,368 4.27
ADOBE INC COM 10 $10,729,082,000 36,412,975 1.25 1.15 307,878 0.85
BERKSHIRE HATHAWAY INC DEL CL A 11 $9,580,425,000 30,094 1.12 1.08 222 0.74
ALPHABET INC CAP STK CL C 12 $9,573,595,000 8,856,977 1.12 1.33 -599,669 -6.34
NETFLIX INC COM 13 $9,484,449,000 25,820,673 1.11 1.12 -346,346 -1.32
PAYPAL HLDGS INC COM 14 $9,332,014,000 81,530,787 1.09 1.03 -1,312,397 -1.58
BANK AMER CORP COM 15 $8,085,389,000 278,806,521 0.94 1.07 -45,594,594 -14.06
NVIDIA CORP COM 16 $7,324,880,000 44,601,350 0.86 1.07 -5,258,747 -10.55
JPMORGAN CHASE & CO COM 17 $6,898,893,000 61,707,459 0.81 0.78 -2,955,060 -4.57
BOSTON SCIENTIFIC CORP COM 18 $5,798,463,000 134,910,725 0.68 0.67 -11,883,200 -8.10
COMCAST CORP NEW CL A 19 $5,772,619,000 136,533,077 0.67 0.61 9,577,575 7.54
GENERAL ELECTRIC CO COM 20 $5,761,676,000 548,730,993 0.67 0.54 98,304,467 21.82
DISNEY WALT CO COM DISNEY 21 $4,896,992,000 35,068,690 0.57 0.45 1,167,049 3.44
CITIGROUP INC COM NEW 22 $4,603,918,000 65,742,074 0.54 0.55 -7,662,201 -10.44
VERTEX PHARMACEUTICALS INC COM 23 $4,529,471,000 24,699,915 0.53 0.54 265,756 1.09
QUALCOMM INC COM 24 $4,519,518,000 59,412,613 0.53 0.23 25,545,894 75.43
MCDONALDS CORP COM 25 $4,411,609,000 21,244,388 0.52 0.49 -172,296 -0.80
AMERICAN TOWER CORP NEW COM 26 $4,403,653,000 21,539,017 0.51 0.54 -1,279,487 -5.61
BERKSHIRE HATHAWAY INC DEL CL B NEW 27 $4,351,354,000 20,412,604 0.51 0.49 -27,304 -0.13
HOME DEPOT INC COM 28 $4,297,608,000 20,664,565 0.50 0.51 -1,677,095 -7.51
EXXON MOBIL CORP COM 29 $4,160,381,000 54,291,798 0.49 0.46 6,523,945 13.66
ALIBABA GROUP HLDG LTD SPONSORED ADS 30 $4,025,633,000 23,757,054 0.47 0.46 2,801,207 13.37
AMPHENOL CORP NEW CL A 31 $4,012,467,000 41,822,671 0.47 0.46 1,598,039 3.97
DANAHER CORPORATION COM 32 $3,984,282,000 27,877,712 0.47 0.44 206,169 0.75
AMGEN INC COM 33 $3,964,678,000 21,514,427 0.46 0.58 -3,832,555 -15.12
AMERICAN EXPRESS CO COM 34 $3,671,427,000 29,742,605 0.43 0.34 3,468,089 13.20
THERMO FISHER SCIENTIFIC INC COM 35 $3,655,343,000 12,446,688 0.43 0.38 874,107 7.55
INTUITIVE SURGICAL INC COM NEW 36 $3,498,821,000 6,670,137 0.41 0.47 -137,725 -2.02
BECTON DICKINSON & CO COM 37 $3,477,122,000 13,797,555 0.41 0.53 -4,037,445 -22.64
PROCTER AND GAMBLE CO COM 38 $3,435,932,000 31,335,443 0.40 0.44 -4,065,095 -11.48
ALEXION PHARMACEUTICALS INC COM 39 $3,351,254,000 25,585,991 0.39 0.47 -3,558,329 -12.21
LULULEMON ATHLETICA INC COM 40 $3,322,028,000 18,434,205 0.39 0.36 -57,816 -0.31
WORKDAY INC CL A 41 $3,313,960,000 16,120,044 0.39 0.34 1,352,327 9.16
LAUDER ESTEE COS INC CL A 42 $3,312,374,000 18,089,527 0.39 0.35 589,767 3.37
WELLS FARGO CO NEW COM 43 $3,126,404,000 66,069,387 0.37 0.48 -16,147,868 -19.64
UNION PACIFIC CORP COM 44 $3,124,666,000 18,477,115 0.36 0.32 2,254,527 13.90
ISHARES INC CORE MSCI EMKT 45 $3,076,704,000 59,811,495 0.36 0.33 6,794,494 12.82
COSTCO WHSL CORP NEW COM 46 $3,069,155,000 11,614,148 0.36 0.32 689,366 6.31
BOEING CO COM 47 $2,999,308,000 8,239,631 0.35 0.50 -2,802,205 -25.38
COCA COLA CO COM 48 $2,943,951,000 57,815,219 0.34 0.29 6,551,890 12.78
CISCO SYS INC COM 49 $2,902,585,000 53,034,617 0.34 0.24 15,869,446 42.70
ALTRIA GROUP INC COM 50 $2,900,246,000 61,251,257 0.34 0.54 -17,459,095 -22.18
WALMART INC COM 51 $2,805,905,000 25,395,099 0.33 0.28 1,326,480 5.51
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