Wartość aktywów (mln USD): | 736 | |||||||||||
Liczba spółek: | 43 | |||||||||||
Stopa dywidendy: | - % | |||||||||||
Opłata za zarządzanie:: | 0.5 % | |||||||||||
Klasa aktywów: | Equity |
ISIN:
Wystawca ETF: J.P. MorganNazwa | Symbol | Klasa_aktywów | Wartość_aktywów | 5D | 1M | 3M | 6M | 2024 | 1R | 3L | 5L | 10L |
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Sektor | Udział % |
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Nazwa firmy | Symbol | Wartość | Udział % w portfelu | Ilość akcji |
---|---|---|---|---|
MICROSOFT CORP COMMON | MSFT | 72 876 596 | 6.3 | 202 525 |
AMAZON.COM INC COMMON | AMZN | 65 365 263 | 5.6 | 382 253 |
META PLATFORMS INC | META | 50 958 045 | 4.4 | 100 961 |
APPLE INC COMMON STOCK | AAPL | 44 028 550 | 3.8 | 233 722 |
BERKSHIRE HATHAWAY INC | BRK.B | 42 884 677 | 3.7 | 86 892 |
NVIDIA CORP COMMON STOCK | NVDA | 41 495 739 | 3.6 | 439 993 |
KINDER MORGAN INC COMMON | KMI | 38 877 861 | 3.3 | 1 537 282 |
LOEWS CORP COMMON STOCK | L | 38 436 267 | 3.3 | 462 419 |
CAPITAL ONE FINANCIAL | COF | 35 836 713 | 3.1 | 238 007 |
MCDONALD'S CORP COMMON | MCD | 34 684 012 | 3.0 | 115 571 |
BROADCOM INC COMMON | AVGO | 34 664 585 | 3.0 | 236 958 |
MASTERCARD INC COMMON | MA | 33 135 389 | 2.8 | 67 655 |
THE PROCTER & GAMBLE | PG | 32 744 432 | 2.8 | 199 966 |
EOG RESOURCES INC COMMON | EOG | 32 173 587 | 2.8 | 291 032 |
UNITEDHEALTH GROUP INC | UNH | 30 858 763 | 2.6 | 58 773 |
HCA HEALTHCARE INC | HCA | 29 223 671 | 2.5 | 88 116 |
JPMORGAN PRIME VAR 12/49 | 29 038 256 | 2.5 | 29 026 645 | |
M&T BANK CORP COMMON | MTB | 28 071 878 | 2.4 | 178 779 |
PUBLIC STORAGE REIT USD | PSA | 26 291 710 | 2.3 | 92 404 |
HONEYWELL INTERNATIONAL | HON | 25 628 184 | 2.2 | 134 186 |
HOME DEPOT INC/THE | HD | 25 477 968 | 2.2 | 71 992 |
INTUIT INC COMMON STOCK | INTU | 25 229 542 | 2.2 | 44 930 |
NEXTERA ENERGY INC | NEE | 25 140 428 | 2.2 | 375 735 |
MORGAN STANLEY DEAN | MS | 24 856 971 | 2.1 | 248 993 |
PALO ALTO NETWORKS INC | PANW | 24 317 502 | 2.1 | 158 348 |
REGENCY CENTERS CORP | REG | 23 771 450 | 2.0 | 345 666 |
ALPHABET INC COMMON | GOOG | 21 824 891 | 1.9 | 147 725 |
ELI LILLY & CO COMMON | LLY | 21 428 759 | 1.8 | 29 028 |
QUANTA SERVICES INC | PWR | 19 960 542 | 1.7 | 83 353 |
ANALOG DEVICES INC | ADI | 18 227 145 | 1.6 | 110 736 |
BOOKING HOLDINGS INC | BKNG | 18 091 416 | 1.6 | 4 223 |
INTUITIVE SURGICAL INC | ISRG | 17 056 176 | 1.5 | 37 770 |
TJX COS INC/THE COMMON | TJX | 16 961 305 | 1.5 | 138 845 |
THERMO FISHER SCIENTIFIC | TMO | 16 799 541 | 1.4 | 38 363 |
TRANE TECHNOLOGIES PLC | TT | 16 658 466 | 1.4 | 52 367 |
MARTIN MARIETTA | MLM | 16 238 208 | 1.4 | 34 498 |
PACKAGING CORP OF | PKG | 16 041 179 | 1.4 | 87 456 |
JOHNSON & COMMON | JNJ | 14 228 334 | 1.2 | 92 850 |
HUBSPOT INC COMMON STOCK | HUBS | 13 854 940 | 1.2 | 27 627 |
REGENERON | REGN | 10 071 502 | 0.9 | 17 563 |
JB HUNT TRANSPORT | JBHT | 9 954 471 | 0.9 | 73 923 |
ESTEE LAUDER COS INC/THE | EL | 876 414 | 0.1 | 16 558 |
CASH | -496 280 | 0.0 | -496 280 | |
Security Description | Ticker | 0 | 0.0 | 0 |