Universe · entity

Grantham, Mayo, Van Otterloo & Co. LLC

Institutional manager (13F) · CIK 1352662
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $32.3B
#IssuerValueShares
1MICROSOFT CORP$2.3B6,176,138
2ALPHABET INC$2.0B6,900,577
3JOHNSON & JOHNSON$1.8B7,278,866
4APPLE INC$1.8B6,937,574
5META PLATFORMS INC$1.8B3,073,041
6LAM RESEARCH CORP$1.5B6,904,206
7AMAZON COM INC$1.3B6,229,375
8THERMO FISHER SCIENTIFIC INC$1.2B2,502,206
9BROADCOM INC$1.0B3,348,517
10US BANCORP$994M19,113,643
11TEXAS INSTRS INC$983M5,061,047
12VISA INC$918M3,036,116
13ABBOTT LABORATORIES$915M8,910,945
14UNITEDHEALTH GROUP INC$855M3,158,451
15MERCK & CO INC$844M7,013,777
16SALESFORCE INC$826M4,425,552
17ACCENTURE PLC IRELAND$774M3,902,335
18THE CIGNA GROUP$693M2,598,218
19ELI LILLY & CO$690M749,815
20KLA CORP$679M461,202
21HILTON WORLDWIDE HLDGS INC$675M2,219,281
22COCA COLA CO$630M8,279,748
23CONSTELLATION BRANDS INC$604M4,025,780
24TJX COS INC NEW$593M3,712,526
25INTUITIVE SURGICAL INC$567M1,230,930
26ELEVANCE HEALTH INC FORMERLY$564M1,938,276
27UBER TECHNOLOGIES INC$531M7,376,626
28MASTERCARD INCORPORATED$475M950,785
29NETFLIX INC.$389M4,049,031
30QUEST DIAGNOSTICS INC$369M1,883,024
31SYNOPSYS INC$361M910,133
32TRADEWEB MKTS INC$312M2,650,663
33ASML HLDG NV$204M154,570
34GSK PLC$194M3,522,566
35RIO TINTO PLC$187M2,004,837
36TORONTO DOMINION BK ONT$183M1,960,719
37DARLING INGREDIENTS INC$167M2,707,158
38ALBEMARLE CORP$163M906,683
39VODAFONE GROUP PLC$152M10,093,944
40TOTALENERGIES SE$139M1,490,835
41SOCIEDAD QUIMICA Y MINERA DE$136M1,679,736
42PROCTER & GAMBLE CO$129M893,434
43TAIWAN SEMICONDUCTOR MANUFAC$127M374,511
44DEUTSCHE BK AG$119M4,101,165
45ARAMARK$119M2,923,733
46SOLAREDGE TECHNOLOGIES INC$114M2,234,200
47SUNRUN INC$106M7,820,138
48GE AEROSPACE$91M321,662
49NEXGEN ENERGY LTD$87M7,554,115
50BANK NOVA SCOTIA B C$84M1,213,514
All filings on EDGAR ↗

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