Universe · entity

Deseret Mutual Benefit Administrators

Institutional manager (13F) · CIK 1789351
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $194M
#IssuerValueShares
1ISHARES TR$31M395,455
2VANECK ETF TRUST$18M336,862
3VANECK ETF TRUST$12M458,322
4APPLE INC$11M44,886
5JOHNSON & JOHNSON$7M29,372
6BROADCOM INC$6M19,384
7CISCO SYS INC$5M70,470
8ALPHABET INC$5M16,331
9GILEAD SCIENCES INC$5M32,797
10ABBVIE INC$4M18,046
11LAM RESEARCH CORP$4M17,310
12APPLIED MATLS INC$4M10,647
13HOME DEPOT INC$3M10,221
14CATERPILLAR INC$3M4,574
15MERCK & CO INC$3M26,080
16EXXON MOBIL CORP$3M17,230
17LOCKHEED MARTIN CORP$3M4,793
18META PLATFORMS INC$3M4,919
19ORACLE CORP$3M19,055
20ELI LILLY & CO$3M3,026
21PEPSICO INC$3M17,359
22MARATHON PETE CORP$3M10,622
23MICROSOFT CORP$3M6,988
24LOWES COS INC$2M10,218
25VISA INC$2M7,929
26AMAZON COM INC$2M11,492
27BERKSHIRE HATHAWAY INC DEL$2M4,758
28AMGEN INC$2M6,371
29UNION PAC CORP$2M9,191
30TEXAS INSTRS INC$2M11,403
31COCA COLA CO$2M28,953
32TARGET CORP$2M17,803
33QUALCOMM INC$2M16,076
34CHEVRON CORPORATION$2M9,388
35CORNING INC$2M14,092
36JPMORGAN CHASE & CO$2M6,506
373M CO$2M12,776
38HOWMET AEROSPACE INC$2M7,992
39PROCTER & GAMBLE CO$2M12,317
40KLA CORP$2M1,163
41MCDONALDS CORP$2M5,483
42BOOKING HOLDINGS INC$2M385
43MASTERCARD INCORPORATED$2M3,235
44INTEL CORP$2M36,331
45TJX COS INC NEW$2M9,917
46INTERNATIONAL BUSINESS MACHS$2M6,501
47NETFLIX INC.$2M16,230
48SEAGATE TECHNOLOGY HLDNGS PL$2M3,942
49ACCENTURE PLC IRELAND$1M7,353
50HCA HEALTHCARE INC$1M2,871
All filings on EDGAR ↗

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