HOUSTON, TX
Allocation by class
Portfolio Concentration
Top 3 weight
22.0%
Top 10 weight
48.1%
Voting Authority Distribution
Total shares with voting rights: 204.06M
Full voting authority
12.19M
shares
Joint voting authority
182.76M
shares
No voting authority
9.11M
shares
Investment Discretion (by position count)
| Issuer | Class | Shares | Type | Value / Portfolio % | Voting — Sole | Shared | None |
|---|---|---|---|---|---|---|---|
APPLE INCDFND | Common Stock | 13.88M | SH | $3.52B 9.01% | 868.23K | 12.31M | 700.57K |
MICROSOFT CORPDFND | Common Stock | 7.70M | SH | $2.85B 7.29% | 640.99K | 6.69M | 366.61K |
ALPHABET INC-CL CDFND | Common Stock | 7.79M | SH | $2.23B 5.72% | 890.39K | 6.49M | 411.07K |
PHILIP MORRIS INTERNATIONALDFND | Common Stock | 10.77M | SH | $1.78B 4.56% | 356.21K | 10.11M | 306.58K |
NVIDIA CORPDFND | Common Stock | 9.82M | SH | $1.71B 4.38% | 1.62M | 7.56M | 643.37K |
AMAZON.COM INCDFND | Common Stock | 8.08M | SH | $1.68B 4.31% | 974.66K | 6.68M | 428.40K |
EXXON MOBIL CORPDFND | Common Stock | 8.04M | SH | $1.36B 3.49% | 208.90K | 7.65M | 174.42K |
CHEVRON CORPDFND | Common Stock | 6.17M | SH | $1.28B 3.27% | 524.68K | 5.32M | 320.35K |
META PLATFORMS INCDFND | Common Stock | 2.14M | SH | $1.22B 3.13% | 216.36K | 1.83M | 89.46K |
COCA-COLA CO/THEDFND | Common Stock | 15.16M | SH | $1.15B 2.95% | 484.50K | 14.09M | 586.32K |
JPMORGAN CHASE & CODFND | Common Stock | 3.13M | SH | $920.46M 2.36% | 148.14K | 2.85M | 130.63K |
VISA INC-CLASS A SHARESDFND | Common Stock | 2.99M | SH | $902.93M 2.31% | 333.63K | 2.49M | 167.81K |
ASML HOLDING NV-NY REG SHSDFND | American Depository Receipt | 664.47K | SH | $877.65M 2.25% | 90.03K | 549.75K | 24.69K |
TAIWAN SEMICONDUCTOR-SP ADRDFND | American Depository Receipt | 2.55M | SH | $861.02M 2.20% | 410.22K | 1.97M | 163.59K |
MCDONALD'S CORPDFND | Common Stock | 2.70M | SH | $840.49M 2.15% | 213.04K | 2.36M | 132.31K |
TEXAS INSTRUMENTS INCDFND | Common Stock | 3.46M | SH | $671.95M 1.72% | 239.18K | 3.02M | 200.88K |
S&P GLOBAL INCDFND | Common Stock | 1.53M | SH | $649.60M 1.66% | 154.85K | 1.30M | 76.36K |
ENTERPRISE PRODUCTS PARTNERSDFND | Partnership Shares | 16.20M | SH | $612.98M 1.57% | 0.00 | 15.81M | 386.87K |
BLACKROCK INCDFND | Common Stock | 636.70K | SH | $612.32M 1.57% | 79.81K | 513.30K | 43.58K |
MASTERCARD INC - ADFND | Common Stock | 1.20M | SH | $601.92M 1.54% | 138.37K | 1M | 62.99K |
ABBVIE INCDFND | Common Stock | 2.76M | SH | $599.46M 1.53% | 165.38K | 2.44M | 152.77K |
INTUITIVE SURGICAL INCDFND | Common Stock | 1.21M | SH | $558.91M 1.43% | 165.66K | 972.17K | 74.57K |
EATON CORP PLCDFND | Common Stock | 1.49M | SH | $534.36M 1.37% | 196.19K | 1.21M | 89.32K |
PROGRESSIVE CORPDFND | Common Stock | 2.46M | SH | $488.52M 1.25% | 277.08K | 2.04M | 147.65K |
INTUIT INCDFND | Common Stock | 1.06M | SH | $457.35M 1.17% | 156.04K | 838.67K | 63.04K |