NVIDIA CORPORATION NVDA
6.58% 6.6% $11.87B 59.3M $9.84B 56.4M +2.9M +5.15% Add APPLE INC AAPL
5.87% 5.78% $10.59B 36.6M $8.62B 34.0M +2.6M +7.78% Add MICROSOFT CORP MSFT
4.17% 4.76% $7.52B 20.2M $7.09B 19.2M +1.0M +5.24% Add AMAZON COM INC AMZN
3.68% 3.61% $6.63B 27.8M $5.38B 25.8M +2.0M +7.65% Add ALPHABET INC GOOGL
3.51% 3.11% $6.33B 17.7M $4.63B 16.1M +1.6M +10.14% Add BROADCOM INC AVGO
2.47% 2.29% $4.46B 11.8M $3.41B 11.0M +767,850 +6.96% Add A Alphabet Inc Class C GOOG
2.3% 2.19% $4.16B 11.8M $3.27B 11.4M +380,818 +3.35% Add MICRON TECHNOLOGY INC MU
1.84% 0.6% $3.32B 2.9M $897.2M 2.7M +220,545 +8.30% Add META PLATFORMS INC META
1.73% 1.96% $3.12B 5.5M $2.92B 5.1M +433,174 +8.48% Add TESLA INC TSLA
1.66% 1.65% $3.00B 7.1M $2.46B 6.6M +505,589 +7.64% Add VISA INC V
1.34% 1.35% $2.42B 7.1M $2.00B 6.6M +417,775 +6.30% Add ADVANCED MICRO DEVICES INC AMD
1.34% 0.53% $2.42B 4.2M $782.6M 3.8M +315,830 +8.21% Add ELI LILLY & CO LLY
1.34% 1.16% $2.42B 2.0M $1.73B 1.9M +131,669 +7.00% Add JPMORGAN CHASE & CO JPM
1.21% 1.23% $2.18B 6.6M $1.83B 6.2M +410,413 +6.58% Add BERKSHIRE HATHAWAY INC DEL BRK.B
1.09% 1.18% $1.97B 3.9M $1.75B 3.7M +291,838 +7.99% Add INTEL CORP INTC
0.9% 0.32% $1.62B 11.6M $483.7M 11.0M +666,041 +6.08% Add COCA COLA CO KO
0.88% 1.03% $1.59B 19.6M $1.54B 20.2M -653,157 -3.23% Reduce JOHNSON & JOHNSON JNJ
0.86% 0.93% $1.54B 6.1M $1.38B 5.7M +420,556 +7.44% Add NETFLIX INC NFLX
0.82% 1.21% $1.48B 20.7M $1.80B 18.7M +2.1M +11.12% Add PROCTER & GAMBLE CO PG
0.82% 0.97% $1.48B 10.1M $1.44B 10.0M +99,811 +1.00% Add APPLIED MATLS INC AMAT
0.81% 0.43% $1.47B 2.0M $645.8M 1.9M +145,129 +7.68% Add CATERPILLAR INC CAT
0.81% 0.64% $1.47B 1.4M $957.4M 1.4M +26,580 +1.97% Add LAM RESEARCH CORP LRCX
0.8% 0.45% $1.44B 3.3M $676.8M 3.2M +145,071 +4.58% Add EXXON MOBIL CORP XOM
0.77% 1.09% $1.39B 10.2M $1.62B 9.5M +622,961 +6.54% Add WALMART INC WMT
0.71% 0.88% $1.28B 11.3M $1.31B 10.5M +803,237 +7.63% Add TEXAS INSTRS INC TXN
0.67% 0.67% $1.21B 4.0M $1.00B 5.2M -1.1M -21.58% Reduce CISCO SYS INC CSCO
0.66% 0.49% $1.20B 10.2M $735.0M 9.5M +703,633 +7.43% Add PHILIP MORRIS INTL INC PM
0.64% 0.63% $1.15B 6.4M $941.4M 5.7M +671,359 +11.79% Add ABBVIE INC ABBV
0.61% 0.59% $1.09B 4.3M $876.7M 4.0M +309,681 +7.68% Add COSTCO WHOLESALE CORPORATION COST
0.6% 0.72% $1.09B 1.2M $1.07B 1.1M +83,049 +7.70% Add UNITEDHEALTH GROUP INC UNH
0.59% 0.43% $1.07B 2.6M $641.5M 2.4M +193,244 +8.15% Add MASTERCARD INCORPORATED MA
0.57% 0.63% $1.02B 2.0M $939.2M 1.9M +105,190 +5.60% Add T THERMO FISHER SCIENTIFIC INC TMO
0.56% 0.61% $1.01B 2.0M $910.9M 1.9M +159,708 +8.62% Add KLA CORP KLAC
0.56% 0.31% $1.01B 3.3M $460.1M 312,507 +3.0M +967.96% Add GOLDMAN SACHS GROUP INC GS
0.54% 0.53% $974.4M 963,426 $794.7M 939,412 +24,014 +2.56% Add GE AEROSPACE GE
0.53% 0.45% $952.5M 2.5M $675.3M 2.4M +169,116 +7.11% Add B BANK OF AMER CORP BAC
0.52% 0.51% $939.8M 16.5M $754.5M 15.5M +1.0M +6.57% Add AON PLC SHS CL A AON
0.51% 0.55% $913.4M 2.8M $812.3M 2.5M +237,276 +9.43% Add HOME DEPOT INC HD
0.5% 0.52% $896.2M 2.5M $778.3M 2.4M +174,593 +7.38% Add S&P GLOBAL INC SPGI
0.45% 0.58% $817.0M 2.0M $868.5M 2.0M -35,870 -1.76% Reduce CHEVRON CORPORATION CVX
0.45% 0.64% $810.7M 4.9M $952.5M 4.6M +287,463 +6.24% Add MERCK & CO INC MRK
0.44% 0.47% $794.6M 6.2M $695.6M 5.8M +402,011 +6.95% Add GE VERNOVA INC GEV
0.44% 0.37% $786.3M 669,232 $543.7M 622,912 +46,320 +7.44% Add UBER TECHNOLOGIES INC UBER
0.42% 0.5% $752.2M 10.4M $744.0M 10.3M +79,358 +0.77% Add SYNOPSYS INC SNPS
0.41% 0.44% $747.4M 1.7M $658.0M 1.7M +15,820 +0.95% Add INTERCONTINENTAL EXCHANGE INC COM ICE
0.4% 0.6% $714.9M 5.8M $900.7M 5.7M +79,740 +1.39% Add PALO ALTO PANW
0.4% 0.21% $713.0M 2.1M $314.4M 2.0M +130,038 +6.63% Add I INTERNATIONAL BUSINESS MACHS IBM
0.38% 0.37% $683.9M 2.4M $545.6M 2.3M +181,050 +8.04% Add PALANTIR TECHNOLOGIES INC PLTR
0.37% 0.53% $664.8M 5.7M $788.9M 5.4M +305,529 +5.67% Add MARVELL TECHNOLOGY INC MRVL
0.36% 0.07% $653.0M 2.2M $97.9M 988,446 +1.2M +121.77% Add