Filed: 5/12/2025ACC: 0000315066-25-001380
📋 What this filing means
FMR LLC filed this quarterly 13F‑HR report disclosing 5285 equity positions with a total reported market value of $1.57T. This filing provides a transparent view of the manager's long equity holdings as of the quarter end.
5285
Positions
$1.57T
Total AUM (reported)
19.49B
Total Shares
Allocation by class
COM$1.02T65.1%
CL A$177.55B11.3%
COM NEW$48.58B3.1%
COM CL A$38.29B2.4%
CAP STK CL A$34.20B2.2%
SHS$31.61B2.0%
SPONSORED ADS$22.50B1.4%
Portfolio Concentration
Top 3$259.55B16.6%
4–10$262.61B16.8%
11–25$176.57B11.3%
Rest$867.58B55.4%
Top 3 weight
16.6%
Top 10 weight
33.3%
Voting Authority Distribution
Total shares with voting rights: 17.06B
Sole
Full voting authority
14.45B
shares
% of voting shares84.7%
Shared
Joint voting authority
0.00
shares
% of voting shares0.0%
None
No voting authority
2.61B
shares
% of voting shares15.3%
Investment Discretion (by position count)
Sole0
Shared0
Other5285
Dominant voting typeSole · 84.7% of voting shares
Institutional Holdings5285
Rows:
NVIDIA CORPORATION
DFNDShares1B
TypeSH
Market value$108.59B
6.93%
Sole
920.95M
Shared
0.00
None
80.97M
META PLATFORMS INC
DFNDShares135.17M
TypeSH
Market value$77.91B
4.97%
Sole
127.25M
Shared
0.00
None
7.92M
MICROSOFT CORP
DFNDShares194.59M
TypeSH
Market value$73.05B
4.66%
Sole
171.34M
Shared
0.00
None
23.25M
APPLE INC
DFNDShares328.10M
TypeSH
Market value$72.88B
4.65%
Sole
290.51M
Shared
0.00
None
37.59M
AMAZON COM INC
DFNDShares339.63M
TypeSH
Market value$64.62B
4.13%
Sole
311.06M
Shared
0.00
None
28.57M
ALPHABET INC
DFNDShares221.16M
TypeSH
Market value$34.20B
2.18%
Sole
195.72M
Shared
0.00
None
25.44M
BERKSHIRE HATHAWAY INC DEL
DFNDShares33.25K
TypeSH
Market value$26.55B
1.69%
Sole
33.24K
Shared
0.00
None
11.00
ELI LILLY & CO
DFNDShares28.47M
TypeSH
Market value$23.51B
1.50%
Sole
25.66M
Shared
0.00
None
2.81M
NETFLIX INC
DFNDShares22.32M
TypeSH
Market value$20.82B
1.33%
Sole
20.31M
Shared
0.00
None
2.01M
VISA INC
DFNDShares57.17M
TypeSH
Market value$20.04B
1.28%
Sole
48.99M
Shared
0.00
None
8.18M
BROADCOM INC
DFNDShares101.87M
TypeSH
Market value$17.06B
1.09%
Sole
87.19M
Shared
0.00
None
14.68M
EXXON MOBIL CORP
DFNDShares141.80M
TypeSH
Market value$16.86B
1.08%
Sole
108.73M
Shared
0.00
None
33.07M
ALPHABET INC
DFNDShares105.09M
TypeSH
Market value$16.42B
1.05%
Sole
94.66M
Shared
0.00
None
10.43M
WELLS FARGO CO NEW
DFNDShares205.37M
TypeSH
Market value$14.74B
0.94%
Sole
161.74M
Shared
0.00
None
43.63M
BOSTON SCIENTIFIC CORP
DFNDShares128.60M
TypeSH
Market value$12.97B
0.83%
Sole
116.77M
Shared
0.00
None
11.83M
GE AEROSPACE
DFNDShares64.01M
TypeSH
Market value$12.81B
0.82%
Sole
54.09M
Shared
0.00
None
9.92M
UNITEDHEALTH GROUP INC
DFNDShares24.22M
TypeSH
Market value$12.68B
0.81%
Sole
20.12M
Shared
0.00
None
4.09M
MASTERCARD INCORPORATED
DFNDShares22.80M
TypeSH
Market value$12.50B
0.80%
Sole
19.82M
Shared
0.00
None
2.98M
JPMORGAN CHASE & CO.
DFNDShares47.01M
TypeSH
Market value$11.53B
0.74%
Sole
37.15M
Shared
0.00
None
9.86M
COSTCO WHSL CORP NEW
DFNDShares9.52M
TypeSH
Market value$9.00B
0.57%
Sole
8.21M
Shared
0.00
None
1.30M
TAIWAN SEMICONDUCTOR MFG LTD
DFNDShares51.98M
TypeSH
Market value$8.63B
0.55%
Sole
46.80M
Shared
0.00
None
5.18M
BANK AMERICA CORP
DFNDShares203.34M
TypeSH
Market value$8.49B
0.54%
Sole
152.93M
Shared
0.00
None
50.41M
TESLA INC
DFNDShares30.21M
TypeSH
Market value$7.83B
0.50%
Sole
24.54M
Shared
0.00
None
5.67M
MARVELL TECHNOLOGY INC
DFNDShares123.85M
TypeSH
Market value$7.63B
0.49%
Sole
116.36M
Shared
0.00
None
7.49M
BERKSHIRE HATHAWAY INC DEL
DFNDShares13.93M
TypeSH
Market value$7.42B
0.47%
Sole
9.21M
Shared
0.00
None
4.71M
| Issuer | Class | Shares | Type | Value / Portfolio % | Voting — Sole | Shared | None |
|---|---|---|---|---|---|---|---|
NVIDIA CORPORATIONDFND | COM | 1B | SH | $108.59B 6.93% | 920.95M | 0.00 | 80.97M |
META PLATFORMS INCDFND | CL A | 135.17M | SH | $77.91B 4.97% | 127.25M | 0.00 | 7.92M |
MICROSOFT CORPDFND | COM | 194.59M | SH | $73.05B 4.66% | 171.34M | 0.00 | 23.25M |
APPLE INCDFND | COM | 328.10M | SH | $72.88B 4.65% | 290.51M | 0.00 | 37.59M |
AMAZON COM INCDFND | COM | 339.63M | SH | $64.62B 4.13% | 311.06M | 0.00 | 28.57M |
ALPHABET INCDFND | CAP STK CL A | 221.16M | SH | $34.20B 2.18% | 195.72M | 0.00 | 25.44M |
BERKSHIRE HATHAWAY INC DELDFND | CL A | 33.25K | SH | $26.55B 1.69% | 33.24K | 0.00 | 11.00 |
ELI LILLY & CODFND | COM | 28.47M | SH | $23.51B 1.50% | 25.66M | 0.00 | 2.81M |
NETFLIX INCDFND | COM | 22.32M | SH | $20.82B 1.33% | 20.31M | 0.00 | 2.01M |
VISA INCDFND | COM CL A | 57.17M | SH | $20.04B 1.28% | 48.99M | 0.00 | 8.18M |
BROADCOM INCDFND | COM | 101.87M | SH | $17.06B 1.09% | 87.19M | 0.00 | 14.68M |
EXXON MOBIL CORPDFND | COM | 141.80M | SH | $16.86B 1.08% | 108.73M | 0.00 | 33.07M |
ALPHABET INCDFND | CAP STK CL C | 105.09M | SH | $16.42B 1.05% | 94.66M | 0.00 | 10.43M |
WELLS FARGO CO NEWDFND | COM | 205.37M | SH | $14.74B 0.94% | 161.74M | 0.00 | 43.63M |
BOSTON SCIENTIFIC CORPDFND | COM | 128.60M | SH | $12.97B 0.83% | 116.77M | 0.00 | 11.83M |
GE AEROSPACEDFND | COM NEW | 64.01M | SH | $12.81B 0.82% | 54.09M | 0.00 | 9.92M |
UNITEDHEALTH GROUP INCDFND | COM | 24.22M | SH | $12.68B 0.81% | 20.12M | 0.00 | 4.09M |
MASTERCARD INCORPORATEDDFND | CL A | 22.80M | SH | $12.50B 0.80% | 19.82M | 0.00 | 2.98M |
JPMORGAN CHASE & CO.DFND | COM | 47.01M | SH | $11.53B 0.74% | 37.15M | 0.00 | 9.86M |
COSTCO WHSL CORP NEWDFND | COM | 9.52M | SH | $9.00B 0.57% | 8.21M | 0.00 | 1.30M |
TAIWAN SEMICONDUCTOR MFG LTDDFND | SPONSORED ADS | 51.98M | SH | $8.63B 0.55% | 46.80M | 0.00 | 5.18M |
BANK AMERICA CORPDFND | COM | 203.34M | SH | $8.49B 0.54% | 152.93M | 0.00 | 50.41M |
TESLA INCDFND | COM | 30.21M | SH | $7.83B 0.50% | 24.54M | 0.00 | 5.67M |
MARVELL TECHNOLOGY INCDFND | COM | 123.85M | SH | $7.63B 0.49% | 116.36M | 0.00 | 7.49M |
BERKSHIRE HATHAWAY INC DELDFND | CL B NEW | 13.93M | SH | $7.42B 0.47% | 9.21M | 0.00 | 4.71M |
Page 1 of 212
…