Universe · entity

FLPUTNAM INVESTMENT MANAGEMENT CO

Institutional manager (13F) · CIK 1140334
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $4.7B
#IssuerValueShares
1ISHARES TR$803M1,228,966
2ISHARES TR$454M5,018,186
3NVIDIA CORPORATION$275M1,577,690
4APPLE INC$235M924,915
5MICROSOFT CORP$220M593,660
6ALPHABET INC$188M654,470
7ANALOG DEVICES INC$132M414,531
8AMAZON COM INC$129M617,280
9ISHARES TR$127M2,408,999
10BROADCOM INC$125M405,359
11ISHARES TR$106M1,111,041
12ISHARES TR$106M1,571,330
13JPMORGAN CHASE & CO$102M345,943
14ISHARES TR$97M935,426
15VISA INC$86M285,148
16ISHARES INC$84M1,209,143
17LAM RESEARCH CORP$82M385,074
18VANGUARD SCOTTSDALE FDS$72M872,080
19SPDR SERIES TRUST$70M2,404,382
20ALPHABET INC$69M240,297
21ELI LILLY & CO$68M74,082
22ISHARES TR$66M1,286,338
23TJX COS INC NEW$63M391,867
24SPDR SERIES TRUST$62M1,101,717
25COSTCO WHOLESALE CORPORATION$61M60,783
26VANGUARD INDEX FDS$51M158,272
27STATE STR SPDR S&P 500 ETF T$50M76,773
28META PLATFORMS INC$47M82,170
29MICRON TECHNOLOGY INC$44M129,722
30REPUBLIC SVCS INC$42M191,832
31MCKESSON CORP$41M47,778
32MORGAN STANLEY$40M241,047
33BANK AMERICA CORP$35M716,882
34ABBVIE INC$34M156,370
35NEXTERA ENERGY INC$34M360,749
36J P MORGAN EXCHANGE TRADED F$33M648,605
37EATON CORP PLC$33M91,823
38VANGUARD SCOTTSDALE FDS$32M544,060
39HOME DEPOT INC$32M98,187
40SCHWAB CHARLES CORP$30M321,887
41MERCK & CO INC$30M250,923
42ASTRAZENECA PLC$29M148,419
43COCA COLA CO$29M380,210
44UNION PAC CORP$28M116,369
45STRYKER CORPORATION$27M83,581
46LOWES COS INC$27M115,517
47APPLOVIN CORP$27M67,560
48INVESCO QQQ TR$26M45,890
49WILLIAMS COS INC$26M363,057
50AECOM$26M302,038
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.