Institution Information
Reportee Signature Date Report period Total Entries Total Value($)
PROFUND ADVISORS LLC 08-09-2019 06-30-2019 1209 2,109,250,000
Institutional Holdings
Issuer Class Position Value Shares Portfolio Percentage (%) Previous Percentage (%) Shares Delta Shares Delta(%)
AMAZON COM INC COM 1 $95,275,000 50,313 4.52 4.05 3,024 6.39
MICROSOFT CORP COM 2 $83,157,000 620,756 3.94 3.03 85,842 16.05
APPLE INC COM 3 $72,415,000 365,877 3.43 2.87 51,844 16.51
FACEBOOK INC CL A 4 $56,321,000 291,815 2.67 2.09 31,222 11.98
ALPHABET INC CAP STK CL C 5 $39,501,000 36,543 1.87 1.81 4,379 13.61
ALPHABET INC CAP STK CL A 6 $36,680,000 33,874 1.74 1.68 4,213 14.20
AMGEN INC COM 7 $35,661,000 193,512 1.69 1.94 -19,409 -9.12
ABBVIE INC COM 8 $27,872,000 383,271 1.32 1.65 -43,333 -10.16
GILEAD SCIENCES INC COM 9 $27,214,000 402,793 1.29 1.36 -31,371 -7.23
NETFLIX INC COM 10 $26,868,000 73,143 1.27 1.17 4,851 7.10
INTEL CORP COM 11 $25,569,000 534,114 1.21 1.55 -64,990 -10.85
CISCO SYS INC COM 12 $22,225,000 406,092 1.05 0.98 28,533 7.56
PAYPAL HLDGS INC COM 13 $20,986,000 183,344 0.99 0.95 -7,921 -4.14
CELGENE CORP COM 14 $20,676,000 223,672 0.98 1.09 -16,280 -6.78
COMCAST CORP NEW CL A 15 $17,665,000 417,806 0.84 0.69 57,926 16.10
ILLUMINA INC COM 16 $17,183,000 46,674 0.81 0.75 -3,759 -7.45
JOHNSON & JOHNSON COM 17 $15,298,000 109,839 0.73 0.88 -21,425 -16.32
VERTEX PHARMACEUTICALS INC COM 18 $14,912,000 81,320 0.71 0.78 -6,390 -7.29
BIOGEN INC COM 19 $14,384,000 61,503 0.68 0.76 -5,741 -8.54
PEPSICO INC COM 20 $14,234,000 108,551 0.67 0.58 9,810 9.94
EXXON MOBIL CORP COM 21 $13,563,000 176,998 0.64 0.66 7,668 4.53
BROADCOM INC COM 22 $13,461,000 46,761 0.64 0.76 -5,814 -11.06
SALESFORCE COM INC COM 23 $13,280,000 87,526 0.63 0.63 4,194 5.03
JPMORGAN CHASE & CO COM 24 $12,892,000 115,309 0.61 0.43 26,076 29.22
TEXAS INSTRS INC COM 25 $12,693,000 110,608 0.60 0.63 -13,087 -10.58
ADOBE INC COM 26 $12,354,000 41,927 0.59 0.46 5,783 16.00
ALIBABA GROUP HLDG LTD SPONSORED ADS 27 $12,275,000 72,442 0.58 0.72 -9,525 -11.62
NVIDIA CORP COM 28 $11,783,000 71,748 0.56 0.69 -7,913 -9.93
PFIZER INC COM 29 $11,065,000 255,421 0.52 0.63 -52,433 -17.03
QUALCOMM INC COM 30 $10,895,000 143,225 0.52 0.44 -15,840 -9.96
BERKSHIRE HATHAWAY INC DEL CL B NEW 31 $10,683,000 50,117 0.51 0.33 15,451 44.57
COSTCO WHSL CORP NEW COM 32 $10,533,000 39,857 0.50 0.40 5,133 14.78
CHEVRON CORP NEW COM 33 $10,254,000 82,404 0.49 0.45 5,882 7.69
EBAY INC COM 34 $9,627,000 243,725 0.46 0.45 -7,218 -2.88
ALEXION PHARMACEUTICALS INC COM 35 $9,325,000 71,194 0.44 0.50 -5,476 -7.14
STARBUCKS CORP COM 36 $9,235,000 110,158 0.44 0.36 10,402 10.43
VISA INC COM CL A 37 $9,000,000 51,857 0.43 0.30 11,928 29.87
DISNEY WALT CO COM DISNEY 38 $8,767,000 62,783 0.42 0.30 7,448 13.46
BANK AMER CORP COM 39 $8,619,000 297,210 0.41 0.30 69,611 30.58
NEXTERA ENERGY INC COM 40 $8,498,000 41,484 0.40 0.36 3,231 8.45
HOME DEPOT INC COM 41 $8,475,000 40,752 0.40 0.33 5,177 14.55
REGENERON PHARMACEUTICALS COM 42 $8,336,000 26,632 0.40 0.56 -1,695 -5.98
UNITEDHEALTH GROUP INC COM 43 $8,219,000 33,685 0.39 0.47 -5,684 -14.44
VERISIGN INC COM 44 $7,764,000 37,119 0.37 0.34 -2,350 -5.95
CHARTER COMMUNICATIONS INC N CL A 45 $7,721,000 19,538 0.37 0.28 2,933 17.66
MERCK & CO INC COM 46 $7,634,000 91,040 0.36 0.45 -21,191 -18.88
BOOKING HLDGS INC COM 47 $7,377,000 3,935 0.35 0.30 327 9.06
AMERICAN TOWER CORP NEW COM 48 $7,319,000 35,798 0.35 0.29 5,201 17.00
TWITTER INC COM 49 $6,810,000 195,124 0.32 0.33 -12,914 -6.21
EXPEDIA GROUP INC COM NEW 50 $6,714,000 50,470 0.32 0.28 862 1.74
MCDONALDS CORP COM 51 $6,592,000 31,746 0.31 0.26 3,314 11.66
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