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Investment Fund

298 Total Holdings:
As of 9/30/24
All Holdings: 1 - 15 of 298
Security Name Asset Type Shares or
Principal Amount
Market Value Percent of
Net Assets
descending arrow
Meta Platforms, Inc., Class A Equity 9,406,008 $5,384,375,220.00 3.69%
Microsoft Corp. Equity 11,349,248 $4,883,581,414.00 3.34%
Taiwan Semiconductor Manufacturing Co., Ltd. Equity 145,459,941 $4,440,845,520.00 3.04%
Broadcom, Inc. Equity 23,083,199 $3,981,851,828.00 2.73%
Novo Nordisk AS, Class B Equity 31,386,882 $3,737,338,644.00 2.56%
Tesla, Inc. Equity 11,394,405 $2,981,118,180.00 2.04%
NVIDIA Corp. Equity 23,511,748 $2,855,266,677.00 1.96%
AstraZeneca PLC Equity 15,285,063 $2,380,875,448.00 1.63%
Eli Lilly and Co. Equity 2,491,538 $2,207,353,176.00 1.51%
Netflix, Inc. Equity 2,582,732 $1,831,854,326.00 1.25%
Vertex Pharmaceuticals, Inc. Equity 3,685,081 $1,713,857,471.00 1.17%
Carrier Global Corp. Equity 19,638,603 $1,580,711,155.00 1.08%
Safran SA Equity 6,386,849 $1,506,982,250.00 1.03%
JPMorgan Chase & Co. Equity 6,931,102 $1,461,492,168.00 1%
Alphabet, Inc., Class C Equity 8,429,436 $1,409,317,405.00 0.97%
All Holdings: 1 - 15 of 298