Universe · entity

Swiss National Bank

Institutional manager (13F) · CIK 1582202
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $96.4B
#IssuerValueShares
1NVIDIA CORPORATION$12.4B71,314,800
2APPLE INC$10.9B43,134,968
3MICROSOFT CORP$7.7B20,721,690
4AMAZON COM INC$5.9B28,236,000
5ALPHABET INC$4.9B17,079,800
6ALPHABET INC$4.1B14,281,400
7BROADCOM INC$4.1B13,218,810
8META PLATFORMS INC$3.7B6,392,600
9TESLA INC$3.1B8,296,415
10ELI LILLY & CO$2.2B2,358,310
11EXXON MOBIL CORP$2.1B12,376,418
12BERKSHIRE HATHAWAY INC DEL$1.9B4,036,845
13JOHNSON & JOHNSON$1.7B7,070,707
14WALMART INC$1.6B12,864,800
15VISA INC$1.5B4,947,360
16COSTCO WHOLESALE CORPORATION$1.3B1,302,660
17MASTERCARD INCORPORATED$1.2B2,484,860
18ASTRAZENECA PLC$1.2B6,174,666
19NETFLIX INC.$1.2B12,435,540
20ABBVIE INC$1.1B5,186,810
21MICRON TECHNOLOGY INC$1.1B3,303,100
22PROCTER & GAMBLE CO$991M6,857,790
23PALANTIR TECHNOLOGIES INC$981M6,704,000
24CATERPILLAR INC$973M1,373,420
25ADVANCED MICRO DEVICES INC$972M4,778,075
26HOME DEPOT INC$961M2,921,600
27COCA COLA CO$912M11,993,100
28CISCO SYS INC$900M11,595,500
29GE AEROSPACE$878M3,095,622
30MERCK & CO INC$876M7,284,151
31APPLIED MATLS INC$795M2,327,100
32LAM RESEARCH CORP$788M3,686,200
33RTX CORPORATION$759M3,934,881
34PHILIP MORRIS INTL INC$755M4,568,400
35ORACLE CORP$744M5,059,180
36UNITEDHEALTH GROUP INC$719M2,658,441
37GE VERNOVA INC$695M796,245
38LINDE PLC$679M1,370,361
39INTERNATIONAL BUSINESS MACHS$665M2,743,260
40MCDONALDS CORP$650M2,089,980
41PEPSICO INC$623M4,012,800
42VERIZON COMMUNICATIONS INC$621M12,374,198
43AT&T INC$603M20,805,784
44INTEL CORP$585M13,263,300
45KLA CORP$568M385,600
46NEXTERA ENERGY INC$561M6,043,500
47AMGEN INC$556M1,580,353
48THERMO FISHER SCIENTIFIC INC$542M1,102,640
49ABBOTT LABORATORIES$524M5,103,180
50TJX COS INC NEW$520M3,258,900
All filings on EDGAR ↗

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