Universe · entity

Korea Investment CORP

Institutional manager (13F) · CIK 1441689
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $27.9B
#IssuerValueShares
1NVIDIA CORPORATION$3.2B18,137,116
2APPLE INC$2.7B10,760,490
3ISHARES TR$2.6B4,015,958
4MICROSOFT CORP$1.9B5,191,867
5AMAZON COM INC$1.5B7,296,177
6ALPHABET INC$1.2B4,242,864
7ALPHABET INC$1.0B3,658,824
8BROADCOM INC$1.0B3,296,415
9META PLATFORMS INC$922M1,612,098
10TESLA INC$780M2,097,067
11ELI LILLY & CO$654M711,353
12JPMORGAN CHASE & CO$517M1,757,000
13BERKSHIRE HATHAWAY INC DEL$499M1,041,743
14EXXON MOBIL CORP$496M2,921,734
15JOHNSON & JOHNSON$483M1,977,874
16WALMART INC$436M3,507,026
17NETFLIX INC.$350M3,640,357
18VISA INC$345M1,140,167
19COSTCO WHOLESALE CORPORATION$330M331,124
20MICRON TECHNOLOGY INC$287M850,911
21CHEVRON CORPORATION$277M1,338,342
22WELLS FARGO & CO$277M3,477,801
23ABBVIE INC$276M1,267,180
24MASTERCARD INCORPORATED$271M541,997
25CATERPILLAR INC$265M374,659
26PALANTIR TECHNOLOGIES INC$264M1,807,716
27ASTRAZENECA PLC$261M1,345,126
28GE AEROSPACE$248M875,000
29ADVANCED MICRO DEVICES INC$244M1,200,228
30HOME DEPOT INC$244M742,349
31PROCTER & GAMBLE CO$240M1,661,349
32GE VERNOVA INC$234M267,971
33MERCK & CO INC$228M1,897,151
34CISCO SYS INC$224M2,893,370
35COCA COLA CO$224M2,948,235
36LAM RESEARCH CORP$219M1,023,231
37APPLIED MATLS INC$212M620,101
38BANK AMERICA CORP$208M4,258,298
39RTX CORPORATION$196M1,017,040
40LINDE PLC$189M381,256
41PEPSICO INC$188M1,211,327
42AMERICAN EXPRESS CO$188M621,806
43TJX COS INC NEW$188M1,174,618
44IHS HOLDING LIMITED$178M21,666,802
45ORACLE CORP$173M1,172,748
46PHILIP MORRIS INTL INC$169M1,020,505
47MCDONALDS CORP$167M536,374
48UNITEDHEALTH GROUP INC$166M614,660
49CITIGROUP INC$164M1,442,074
50WELLTOWER INC$160M808,659
All filings on EDGAR ↗

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