Fmr LLC

Investment Portfolio & 13F Holdings Analysis

About
CIK: 0000315066
Type: FundHoldings: 12,917Value: $1.3TLatest: 2025Q1

FMR LLC is an institutional investment manager that filed its latest Form 13F for 2025Q1, reporting 12917 holdings worth $1304.4 billion. Form 13F filings provide transparency into the equity holdings of institutional investment managers with over $100 million in assets under management. This page displays the most recent portfolio holdings, allowing investors to track position changes, new investments, and portfolio composition.

Filing Details

13F-HR • 2025-03-31
Report Date
2025-03-31
Filing Date
2025-05-12
Total Holdings
12,917
Total Value
1304366597427
Accession Number
0000315066-25-001380
Form Type
13F-HR
CIK
fmr
Manager Name
Fmr
Data Enrichment
84% identified
10,850 identified2,067 unidentified

Holdings

12,917 positions • $1.3T total value
Manager:
Search and click to pin securities to the top
Page 1 of 265
MICROSOFT CORP
Shares:194.6M
Value:$73.0B
% of Portfolio:5.6% ($73.0B/$1.3T)
Apple Inc.
Shares:328.1M
Value:$72.9B
% of Portfolio:5.6% ($72.9B/$1.3T)
NVIDIA CORP
Shares:290.5M
Value:$31.5B
% of Portfolio:2.4% ($31.5B/$1.3T)
BERKSHIRE HATHAWAY INC
Shares:33.2K
Value:$26.5B
% of Portfolio:2.0% ($26.5B/$1.3T)
ELI LILLY & Co
Shares:28.5M
Value:$23.5B
% of Portfolio:1.8% ($23.5B/$1.3T)
NETFLIX INC
Shares:22.3M
Value:$20.8B
% of Portfolio:1.6% ($20.8B/$1.3T)
VISA INC.
Shares:57.2M
Value:$20.0B
% of Portfolio:1.5% ($20.0B/$1.3T)
Meta Platforms, Inc.
Shares:32.9M
Value:$19.0B
% of Portfolio:1.5% ($19.0B/$1.3T)
AMAZON COM INC
Shares:97.2M
Value:$18.5B
% of Portfolio:1.4% ($18.5B/$1.3T)
Broadcom Inc.
Shares:101.9M
Value:$17.1B
% of Portfolio:1.3% ($17.1B/$1.3T)
EXXON MOBIL CORP
Shares:141.8M
Value:$16.9B
% of Portfolio:1.3% ($16.9B/$1.3T)
Alphabet Inc.
Shares:105.1M
Value:$16.4B
% of Portfolio:1.3% ($16.4B/$1.3T)
WELLS FARGO & COMPANY/MN
Shares:205.4M
Value:$14.7B
% of Portfolio:1.1% ($14.7B/$1.3T)
BOSTON SCIENTIFIC CORP
Shares:128.6M
Value:$13.0B
% of Portfolio:1.0% ($13.0B/$1.3T)
GENERAL ELECTRIC CO
Shares:64.0M
Value:$12.8B
% of Portfolio:1.0% ($12.8B/$1.3T)
UNITEDHEALTH GROUP INC
Shares:24.2M
Value:$12.7B
% of Portfolio:1.0% ($12.7B/$1.3T)
Mastercard Inc
Shares:22.8M
Value:$12.5B
% of Portfolio:1.0% ($12.5B/$1.3T)
JPMORGAN CHASE & CO
Shares:47.0M
Value:$11.5B
% of Portfolio:0.9% ($11.5B/$1.3T)
Alphabet Inc.
Shares:67.1M
Value:$10.4B
% of Portfolio:0.8% ($10.4B/$1.3T)
COSTCO WHOLESALE CORP /NEW
Shares:9.5M
Value:$9.0B
% of Portfolio:0.7% ($9.0B/$1.3T)