NVIDIA CORPORATION NVDA
3.71% 3.72% $18.35B 91.8M $16.06B 92.1M -297,070 -0.32% Reduce APPLE INC AAPL
3% 2.73% $14.85B 51.3M $11.79B 46.4M +4.9M +10.55% Add ALPHABET INC GOOGL
2.32% 2.2% $11.50B 32.2M $9.50B 33.0M -859,822 -2.60% Reduce MICROSOFT CORP MSFT
2.2% 2.66% $10.87B 29.1M $11.50B 31.1M -2.0M -6.27% Reduce BROADCOM INC AVGO
2.03% 1.89% $10.02B 26.5M $8.17B 26.4M +124,103 +0.47% Add LAM RESEARCH CORP LRCX
1.52% 1.03% $7.51B 17.3M $4.44B 20.8M -3.5M -16.61% Reduce AMAZON COM INC AMZN
1.51% 1.62% $7.49B 31.4M $6.97B 33.5M -2.1M -6.15% Reduce JPMORGAN CHASE & CO JPM
1.15% 1.17% $5.68B 17.3M $5.03B 17.1M +220,033 +1.29% Add BLOOM ENERGY CORP BE
1.11% 0.72% $5.51B 18.2M $3.10B 22.9M -4.7M -20.50% Reduce I ISHARES TR IVV
1.09% 0.95% $5.41B 7.2M $4.10B 6.3M +947,222 +15.09% Add MICRON TECHNOLOGY INC MU
1.01% 0.26% $5.01B 4.3M $1.11B 3.3M +1.1M +31.95% Add APPLIED MATLS INC AMAT
0.93% 0.71% $4.62B 6.4M $3.06B 8.9M -2.5M -28.46% Reduce META PLATFORMS INC META
0.91% 1.05% $4.51B 8.0M $4.53B 7.9M +89,622 +1.13% Add VISA INC V
0.86% 0.77% $4.25B 12.3M $3.33B 11.0M +1.3M +12.17% Add A Alphabet Inc Class C GOOG
0.77% 0.8% $3.81B 10.8M $3.44B 12.0M -1.2M -10.19% Reduce ELI LILLY & CO LLY
0.73% 0.64% $3.60B 3.0M $2.74B 3.0M +12,277 +0.41% Add CISCO SYS INC CSCO
0.73% 0.62% $3.60B 30.6M $2.67B 34.4M -3.8M -11.09% Reduce JOHNSON & JOHNSON JNJ
0.69% 0.78% $3.40B 13.4M $3.37B 13.8M -377,715 -2.74% Reduce CHEVRON CORPORATION CVX
0.66% 0.82% $3.27B 19.7M $3.55B 17.2M +2.6M +14.94% Add B BANK OF AMER CORP BAC
0.66% 0.64% $3.25B 57.0M $2.77B 56.8M +265,433 +0.47% Add WALMART INC WMT
0.62% 0.8% $3.06B 27.0M $3.43B 27.6M -583,926 -2.11% Reduce V VANGUARD INDEX FDS VOO
0.61% 0.51% $3.01B 4.4M $2.21B 3.7M +685,269 +18.53% Add MORGAN STANLEY MS
0.6% 0.53% $2.95B 14.1M $2.29B 13.9M +185,073 +1.33% Add ABBVIE INC ABBV
0.59% 0.56% $2.90B 11.5M $2.41B 11.1M +451,197 +4.08% Add I INVESCO QQQ TR QQQ
0.58% 0.58% $2.85B 3.9M $2.52B 4.4M -497,270 -11.40% Reduce MARVELL TECHNOLOGY INC MRVL
0.55% 0.48% $2.71B 9.1M $2.06B 20.8M -11.7M -56.29% Reduce MASTERCARD INCORPORATED MA
0.52% 0.52% $2.59B 5.0M $2.26B 4.5M +513,892 +11.36% Add V VANGUARD INDEX FDS VTV
0.5% 0.52% $2.49B 11.4M $2.24B 11.4M -22,252 -0.20% Reduce TAIWAN SEMICONDUCTOR MANUFAC TSM
0.49% 0.36% $2.43B 5.1M $1.54B 4.6M +516,557 +11.32% Add PALO ALTO PANW
0.45% 0.24% $2.25B 6.6M $1.04B 6.5M +62,423 +0.96% Add MERCK & CO INC MRK
0.45% 0.45% $2.24B 17.4M $1.96B 16.3M +1.1M +6.92% Add S STATE STR SPDR S&P 500 ETF T SPY
0.45% 0.44% $2.22B 3.0M $1.90B 2.9M +46,530 +1.59% Add TJX COS INC NEW TJX
0.45% 0.49% $2.21B 14.6M $2.12B 13.2M +1.3M +9.96% Add KLA CORP KLAC
0.44% 0.3% $2.18B 7.2M $1.31B 888,042 +6.3M +713.30% Add ARISTA NETWORKS INC ANET
0.44% 0.28% $2.17B 12.8M $1.23B 10.0M +2.8M +27.64% Add WESTERN DIGITAL CORP WDC
0.44% 0.36% $2.17B 3.4M $1.56B 5.8M -2.4M -41.26% Reduce B BANK NEW YORK MELLON CORP BNY
0.43% 0.4% $2.10B 14.6M $1.72B 14.5M +27,298 +0.19% Add I ISHARES TR IWD
0.42% 0.06% $2.10B 8.6M $254.8M 1.2M +7.5M +625.20% Add V VANGUARD INDEX FDS VUG
0.41% 0.41% $2.04B 23.7M $1.75B 4.0M +19.7M +489.31% Add PROCTER & GAMBLE CO PG
0.41% 0.49% $2.04B 13.9M $2.12B 14.7M -759,269 -5.17% Reduce EXXON MOBIL CORP XOM
0.41% 0.76% $2.01B 14.7M $3.28B 19.3M -4.6M -23.75% Reduce ANALOG DEVICES INC COM ADI
0.4% 0.43% $1.98B 5.0M $1.87B 5.9M -904,494 -15.38% Reduce LINDE PLC LIN
0.4% 0.43% $1.97B 3.8M $1.84B 3.7M +99,685 +2.69% Add UNITEDHEALTH GROUP INC UNH
0.38% 0.22% $1.88B 4.5M $946.9M 3.5M +1.0M +28.90% Add S SELECT SECTOR SPDR TR XLK
0.38% 0.31% $1.86B 9.8M $1.34B 9.6M +148,876 +1.55% Add CHUBB LIMITED CB
0.37% 0.4% $1.83B 5.4M $1.73B 5.3M +53,299 +1.00% Add TEXAS INSTRS INC TXN
0.37% 0.28% $1.83B 6.1M $1.20B 6.2M -34,136 -0.55% Reduce WELLS FARGO CO NEW WFC
0.36% 0.43% $1.80B 21.8M $1.87B 23.5M -1.7M -7.07% Reduce ADVANCED MICRO DEVICES INC AMD
0.36% 0.15% $1.79B 3.1M $629.7M 3.1M -11,222 -0.36% Reduce I ISHARES 7-10YR IEF
0.36% 0.41% $1.78B 18.5M $1.76B 18.5M +17,335 +0.09% Add