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Institutional Investment Manager
FMR LLC
FMR LLC (CIK: 0000315066) incorporated in Delaware, located at 245 Summer Street, Boston, MA. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q1)
Portfolio Summary: 2,745 holdings with a total value of $785,093,175,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 APPLE INC 176,998,331 22,023,902,000 2.81%
2 FACEBOOK INC 145,535,944 11,965,238,000 1.52%
3 GOOGLE INC 17,037,293 9,336,436,000 1.19%
4 BIOGEN INC 22,041,151 9,306,655,000 1.19%
5 ISHARES NASDAQ BIOTECHNOLOGY ETF 16,286,437 9,034,087,000 1.15%
6 GILEAD SCIENCES INC 92,036,596 9,031,551,000 1.15%
7 WELLS FARGO & CO NEW 156,685,640 8,523,699,000 1.09%
8 JPMORGAN CHASE & CO 124,495,660 7,541,947,000 0.96%
9 MICROSOFT CORP 168,431,075 6,847,565,000 0.87%
10 UNITEDHEALTH GROUP INC 57,728,114 6,828,658,000 0.87%
11 VISA INC 101,411,462 6,633,323,000 0.84%
12 SALESFORCE COM INC 96,167,952 6,424,980,000 0.82%
13 BERKSHIRE HATHAWAY INC DEL 29,235 6,358,613,000 0.81%
14 ALLERGAN PLC 20,905,286 6,221,831,000 0.79%
15 JOHNSON & JOHNSON 61,434,449 6,180,306,000 0.79%
16 CVS HEALTH CORP 57,323,288 5,916,335,000 0.75%
17 AMGEN INC 36,099,792 5,770,551,000 0.74%
18 BANK AMER CORP 358,553,076 5,518,132,000 0.70%
19 MEDTRONIC PLC 67,739,574 5,283,008,000 0.67%
20 AMAZON COM INC 13,912,456 5,176,825,000 0.66%
21 STARBUCKS CORP 54,156,185 5,128,592,000 0.65%
22 DISNEY WALT CO 47,452,927 4,977,337,000 0.63%
23 CHEVRON CORP NEW 47,049,605 4,939,268,000 0.63%
24 MASTERCARD INCORPORATED 51,484,508 4,447,747,000 0.57%
25 QUALCOMM INC 63,777,312 4,422,318,000 0.56%
26 CITIGROUP INC 82,033,847 4,226,383,000 0.54%
27 PROCTER AND GAMBLE CO 49,656,165 4,068,827,000 0.52%
28 NIKE INC 40,454,422 4,058,791,000 0.52%
29 US BANCORP DEL 92,000,242 4,017,650,000 0.51%
30 CELGENE CORP 34,799,579 4,011,696,000 0.51%
31 TJX COS INC NEW 54,734,197 3,834,131,000 0.49%
32 DANAHER CORP DEL 42,339,883 3,594,656,000 0.46%
33 COMCAST CORP NEW 62,174,977 3,511,021,000 0.45%
34 UNION PAC CORP 32,339,929 3,502,737,000 0.45%
35 TEVA PHARMACEUTICAL INDS LTD 56,075,660 3,493,514,000 0.44%
36 BOSTON SCIENTIFIC CORP 196,140,491 3,481,494,000 0.44%
37 GENERAL ELECTRIC CO 137,837,262 3,419,742,000 0.44%
38 ALEXION PHARMACEUTIC 19,676,917 3,410,011,000 0.43%
39 HOME DEPOT INC 29,338,897 3,333,192,000 0.42%
40 ORACLE CORP 74,892,592 3,231,615,000 0.41%
41 VERIZON COMMUNICATIONS INC 65,305,164 3,175,790,000 0.40%
42 CISCO SYS INC 113,160,731 3,114,750,000 0.40%
43 MCKESSON CORP 13,648,728 3,087,341,000 0.39%
44 COLGATE PALMOLIVE CO 44,521,096 3,087,093,000 0.39%
45 BRISTOL MYERS SQUIBB CO 45,674,498 2,946,005,000 0.38%
46 COCA COLA CO 69,548,585 2,820,194,000 0.36%
47 PRICELINE GRP INC 2,415,004 2,811,428,000 0.36%
48 REGENERON PHARMACEUTICALS 6,010,670 2,713,697,000 0.35%
49 FEDEX CORP 16,095,204 2,662,951,000 0.34%
50 BLACKROCK INC 7,237,592 2,647,801,000 0.34%
Page 1 of 55

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000315066-15-002672, filed 2015.05.14).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.