Investment Fund

221 Total Holdings:
As of 6/30/24
All Holdings: 1 - 15 of 221
Security Name Asset Type Shares or
Principal Amount
Market Value Percent of
Net Assets
descending arrow
Broadcom, Inc. Equity 1,352,484 $2,171,453,637.00 6.26%
Microsoft Corp. Equity 4,542,709 $2,030,363,788.00 5.85%
Meta Platforms, Inc., Class A Equity 2,509,963 $1,265,573,544.00 3.65%
Amazon.com, Inc. Equity 6,455,714 $1,247,566,731.00 3.6%
NVIDIA Corp. Equity 8,585,612 $1,060,666,506.00 3.06%
Capital Group Central Cash Fund Short Term 9,924,167 $992,416,689.00 2.86%
SK hynix, Inc. Equity 5,347,635 $906,905,424.00 2.61%
Eli Lilly and Co. Equity 959,747 $868,935,739.00 2.5%
Taiwan Semiconductor Manufacturing Co., Ltd. Equity 24,956,000 $742,229,091.00 2.14%
Taiwan Semiconductor Manufacturing Co., Ltd. (ADR) Equity 4,176,531 $725,922,853.00 2.09%
UnitedHealth Group, Inc. Equity 1,399,971 $712,949,231.00 2.05%
Micron Technology, Inc. Equity 5,148,320 $677,158,530.00 1.95%
Novo Nordisk AS, Class B Equity 4,521,736 $645,957,871.00 1.86%
MercadoLibre, Inc. Equity 367,316 $603,647,114.00 1.74%
Alphabet, Inc., Class A Equity 3,259,751 $593,763,645.00 1.71%
All Holdings: 1 - 15 of 221