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Institutional Investment Manager
EXXONMOBIL INVESTMENT MANAGEMENT INC /TX
EXXONMOBIL INVESTMENT MANAGEMENT INC /TX (CIK: 0001082970), located at 5959 Las Colinas Blvd, Irving, TX. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q1)
Portfolio Summary: 503 holdings with a total value of $4,424,779,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 APPLE INC 1,400,754 174,296,000 3.94%
2 EXXON MOBIL CORP 1,008,752 85,744,000 1.94%
3 MICROSOFT CORP 1,972,872 80,207,000 1.81%
4 JOHNSON & JOHNSON 668,661 67,267,000 1.52%
5 BERKSHIRE HATHAWAY INC DEL 438,566 63,294,000 1.43%
6 WELLS FARGO & CO NEW 1,127,524 61,337,000 1.39%
7 GENERAL ELECTRIC CO 2,420,441 60,051,000 1.36%
8 JPMORGAN CHASE & CO 896,597 54,316,000 1.23%
9 PROCTER AND GAMBLE CO 649,427 53,214,000 1.20%
10 PFIZER INC 1,473,886 51,276,000 1.16%
11 VERIZON COMMUNICATIONS INC 999,306 48,596,000 1.10%
12 CHEVRON CORP NEW 452,152 47,467,000 1.07%
13 FACEBOOK INC 504,835 41,505,000 0.94%
14 AT&T INC 1,248,148 40,752,000 0.92%
15 DISNEY WALT CO 376,019 39,441,000 0.89%
16 MERCK & CO INC 682,538 39,232,000 0.89%
17 BANK AMER CORP 2,529,779 38,933,000 0.88%
18 COCA COLA CO 945,007 38,320,000 0.87%
19 ISHARES NASDAQ BIOTECHNOLOGY ETF 68,673 38,093,000 0.86%
20 GOOGLE INC 68,817 37,712,000 0.85%
21 CITIGROUP INC 729,590 37,588,000 0.85%
22 HOME DEPOT INC 316,915 36,005,000 0.81%
23 INTEL CORP 1,138,928 35,614,000 0.80%
24 INTERNATIONAL BUSINESS MACHS 221,060 35,480,000 0.80%
25 GILEAD SCIENCES INC 358,176 35,148,000 0.79%
26 COMCAST CORP NEW 611,084 34,508,000 0.78%
27 PEPSICO INC 356,485 34,087,000 0.77%
28 AMAZON COM INC 91,575 34,075,000 0.77%
29 CISCO SYS INC 1,227,604 33,790,000 0.76%
30 ORACLE CORP 770,916 33,265,000 0.75%
31 WAL-MART STORES INC 379,810 31,239,000 0.71%
32 VISA INC 466,520 30,515,000 0.69%
33 AMGEN INC 182,493 29,172,000 0.66%
34 PHILIP MORRIS INTL INC 372,011 28,024,000 0.63%
35 ALLERGAN PLC 93,904 27,948,000 0.63%
36 CVS HEALTH CORP 270,604 27,929,000 0.63%
37 QUALCOMM INC 396,691 27,507,000 0.62%
38 UNITEDHEALTH GROUP INC 229,348 27,130,000 0.61%
39 MEDTRONIC PLC 342,705 26,728,000 0.60%
40 BRISTOL MYERS SQUIBB CO 399,711 25,781,000 0.58%
41 SCHLUMBERGER LTD 306,691 25,590,000 0.58%
42 3M CO 152,647 25,179,000 0.57%
43 BIOGEN INC 56,421 23,823,000 0.54%
44 ALTRIA GROUP INC 473,588 23,689,000 0.54%
45 BOEING CO 157,536 23,643,000 0.53%
46 UNITED TECHNOLOGIES CORP 198,726 23,291,000 0.53%
47 ISHARES TR 111,265 23,124,000 0.52%
48 UNION PAC CORP 211,934 22,955,000 0.52%
49 MCDONALDS CORP 231,133 22,522,000 0.51%
50 ABBVIE INC 383,303 22,439,000 0.51%
Page 1 of 11

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001082970-15-000004, filed 2015.04.17).

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.