Universe · entity

Chevy Chase Trust Holdings, LLC

Institutional manager (13F) · CIK 1462020
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $20.7B
#IssuerValueShares
1NVIDIA CORPORATION$2.6B14,889,987
2APPLE INC$2.3B8,981,425
3MICROSOFT CORP$1.6B4,386,215
4AMAZON COM INC$1.2B5,960,297
5ALPHABET INC$1.0B3,594,171
6ALPHABET INC$919M3,203,123
7BROADCOM INC$837M2,702,684
8BERKSHIRE HATHAWAY INC DEL$641M1,336,767
9META PLATFORMS INC$620M1,083,354
10JPMORGAN CHASE & CO$570M1,936,695
11TESLA INC$516M1,388,580
12VISA INC$417M1,379,994
13COSTCO WHOLESALE CORPORATION$393M394,177
14EXXON MOBIL CORP$368M2,170,102
15ELI LILLY & CO$366M397,885
16GOLDMAN SACHS GROUP INC$353M417,117
17JOHNSON & JOHNSON$319M1,305,710
18WALMART INC$272M2,184,659
19TJX COS INC NEW$253M1,587,034
20MASTERCARD INCORPORATED$212M424,898
21NETFLIX INC.$203M2,107,595
22ABBVIE INC$197M904,397
23CHEVRON CORPORATION$195M941,593
24VERIZON COMMUNICATIONS INC$194M3,857,478
25NEXTERA ENERGY INC$190M2,044,445
26MICRON TECHNOLOGY INC$189M560,011
27VERTEX PHARMACEUTICALS INC$182M407,615
28PROCTER & GAMBLE CO$172M1,190,999
29CATERPILLAR INC$165M233,073
30HOME DEPOT INC$165M501,344
31PALANTIR TECHNOLOGIES INC$165M1,126,473
32ADVANCED MICRO DEVICES INC$164M804,548
33BANK AMERICA CORP$162M3,330,535
34CISCO SYS INC$161M2,071,901
35NOVARTIS AG$160M1,049,794
36REGENERON PHARMACEUTICALS$159M205,833
37BANCO SANTANDER SA$156M13,815,641
38SHELL PLC$155M1,669,740
39ASML HLDG NV$155M117,116
40AMERICAN ELEC PWR CO INC$154M1,172,529
41UNITEDHEALTH GROUP INC$153M564,251
42INTUITIVE SURGICAL INC$152M330,751
43THERMO FISHER SCIENTIFIC INC$152M310,001
44COCA COLA CO$152M2,000,139
45MERCK & CO INC$151M1,253,128
46GE AEROSPACE$148M523,141
47APPLIED MATLS INC$141M412,572
48ISHARES GOLD TR$139M1,575,158
49SLB LIMITED$138M2,677,707
50CADENCE DESIGN SYSTEM INC$135M485,077
All filings on EDGAR ↗

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