Universe · entity
RHUMBLINE ADVISERS
Institutional manager (13F) · CIK 1115418
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $58.7B
| # | Issuer | Value | Shares |
|---|---|---|---|
| 1 | NVIDIA CORP COM | $7.3B | 42,003,171 |
| 2 | APPLE INC COM STK | $6.6B | 25,818,857 |
| 3 | MICROSOFT CORP COM | $4.8B | 12,999,925 |
| 4 | AMAZON.COM INC COM | $3.5B | 16,587,340 |
| 5 | ALPHABET INC CAP STK CL A | $2.9B | 10,138,654 |
| 6 | BROADCOM INC | $2.5B | 8,207,022 |
| 7 | ALPHABET INC CAP STK CL C | $2.3B | 8,170,335 |
| 8 | META PLATFORMS INC | $2.2B | 3,836,760 |
| 9 | TESLA INC | $1.8B | 4,844,884 |
| 10 | BERKSHIRE HATHAWAY INC DEL CL B NEW | $1.4B | 2,848,515 |
| 11 | JPMORGAN CHASE & CO COM | $1.4B | 4,613,123 |
| 12 | ELI LILLY & CO COM | $1.2B | 1,358,698 |
| 13 | EXXON MOBIL CORP COM | $1.2B | 6,928,895 |
| 14 | VISA INC COM CL A STK | $953M | 3,153,782 |
| 15 | JOHNSON & JOHNSON COM USD1 | $936M | 3,829,150 |
| 16 | WALMART INC | $923M | 7,426,952 |
| 17 | COSTCO WHOLESALE CORP NEW COM | $813M | 816,202 |
| 18 | MASTERCARD INC CL A | $762M | 1,525,438 |
| 19 | NETFLIX INC COM | $711M | 7,398,106 |
| 20 | MICRON TECHNOLOGY | $643M | 1,903,681 |
| 21 | CHEVRON CORP COM | $641M | 3,097,960 |
| 22 | ABBVIE INC COM USD0.01 | $630M | 2,897,983 |
| 23 | HOME DEPOT INC COM | $592M | 1,798,520 |
| 24 | BANK OF AMERICA CORP | $570M | 11,685,823 |
| 25 | PALANTIR TECHNOLOGIES INC-A | $567M | 3,879,015 |
| 26 | CATERPILLAR INC COM | $565M | 797,434 |
| 27 | ADVANCED MICRO DEVICES INC | $562M | 2,763,506 |
| 28 | CISCO SYSTEMS INC | $556M | 7,167,062 |
| 29 | COCA COLA CO COM | $524M | 6,891,399 |
| 30 | PROCTER & GAMBLE COM NPV | $522M | 3,610,949 |
| 31 | LAM RESH CORP COM | $491M | 2,297,150 |
| 32 | GENERAL ELECTRIC CO | $482M | 1,697,929 |
| 33 | APPLIED MATERIALS INC COM | $475M | 1,389,985 |
| 34 | MERCK & CO INC NEW COM | $457M | 3,797,430 |
| 35 | ORACLE CORP COM | $451M | 3,068,468 |
| 36 | WELLS FARGO & CO NEW COM STK | $426M | 5,346,541 |
| 37 | GOLDMAN SACHS GROUP INC COM | $424M | 501,345 |
| 38 | RTX CORP | $420M | 2,177,880 |
| 39 | GE VERNOVA INC | $413M | 473,210 |
| 40 | UNITEDHEALTH GROUP INC COM | $395M | 1,458,286 |
| 41 | LINDE PLC | $393M | 793,538 |
| 42 | MC DONALDS CORP COM | $384M | 1,237,063 |
| 43 | PEPSICO INC COM | $384M | 2,471,803 |
| 44 | VERIZON COMMUNICATIONS COM | $383M | 7,632,506 |
| 45 | INTERNATIONAL BUSINESS MACHS CORP COM | $379M | 1,564,848 |
| 46 | PHILIP MORRIS INTL COM STK NPV | $373M | 2,256,060 |
| 47 | KLA CORP | $370M | 250,998 |
| 48 | MORGAN STANLEY COM STK USD0.01 | $354M | 2,149,365 |
| 49 | AT&T INC COM | $353M | 12,162,966 |
| 50 | TJX COS INC COM NEW | $344M | 2,154,059 |
Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.