Stock % Portfolio Value % Change

You might also like

Download as xlsx, pdf, or txt
Download as xlsx, pdf, or txt
You are on page 1of 4

STOCK % PORTFOLIO VALUE % CHANGE

NVO - Novo-nordisk A- 2.68% $ 2,08B -10.51%


s
TEAM - Atlassian Corp 1.61% $ 1,24B -3.48%
Plc
VRSN - Verisign Inc 1.22% $ 947,49M -4.54%
ZM - Zoom Video 1.09% $ 840,95M 20.77%
Communications In Cl
A
MSFT - Microsoft Corp 1.08% $ 835,38M 43.21%

MRNA - Moderna Inc 0.99% $ 769,62M -37.28%


Com
KR - Kroger Co 0.97% $ 750,86M 4.74%
NVDA - Nvidia Corp 0.92% $ 710,18M -26.17%
TGT - Target Corp 0.91% $ 705,98M -14.29%
AMD - Advanced Micro 0.91% $ 705,62M 81.83%
Devices Inc
DPZ - Dominos Pizza 0.82% $ 633,17M 8.10%
Inc
TSLA - Tesla Mtrs Inc 0.81% $ 631,22M 299.64%

MNST - Monster 0.79% $ 614,23M -3.66%


Beverage Corp New
ADBE - Adobe Sys Inc 0.77% $ 593,24M NEW

FNV - Franco Nevada 0.76% $ 587M 3.40%


Corp
UTHR - United 0.72% $ 559,02M -2.62%
Therapeutics Corp
MOH - Molina 0.72% $ 555,51M -8.94%
Healthcare Inc
HSY - Hershey Co 0.71% $ 552,63M 2.28%
GOOGL - Alphabet Inc 0.68% $ 525,48M -0.66%

NKE - Nike Inc-class B 0.67% $ 520,46M 344.74%

ABMD - Abiomed Inc 0.66% $ 509,02M -6.86%


JNJ - Johnson & 0.64% $ 491,69M 74.13%
Johnson
ABNB - Airbnb Inc 0.60% $ 465,37M 293.97%
Com Cl A
QCOM - Qualcomm Inc 0.60% $ 462,07M 46.05%

KO - Coca Cola Co 0.58% $ 452,57M 231.27%


VOD - Vodafone Group 0.57% $ 441,53M -4.13%
Spons Adr
WMT - Wal-mart Stores 0.55% $ 423,79M 39.50%
Inc
BMY - Bristol-myers 0.54% $ 421,35M -2.53%
Squibb Co
AZN - Astrazeneca Plc 0.53% $ 413,48M 3313.18%

ICLR - Icon Plc 0.53% $ 407,32M -21.84%


GILD - Gilead Sciences 0.50% $ 384,24M 8.99%
Inc
HLF - Herbalife Ltd 0.48% $ 370,76M -1.64%
EXEL - Exelixis Inc 0.48% $ 370,95M -2.96%
GSK - Glaxo 0.47% $ 359,73M 3.90%
Smithkline Sponsored
Adr
HZNP - Horizon 0.46% $ 356,17M -23.27%
Therapeutics Pub Ltd
Shs
VRTX - Vertex 0.44% $ 343,10M -16.94%
Pharmaceuticals Inc
CRWD - Crowdstrike 0.43% $ 335,35M -2.56%
Hldgs Inc Cl A
BA - Boeing Co 0.43% $ 329,58M NEW
GOOG - Alphabet Inc 0.42% $ 329,13M 289.73%
PFE - Pfizer Inc 0.41% $ 320,75M 215.50%
PLTR - Palantir 0.40% $ 311,55M 1519.13%
Technologies Inc Cl A

FTNT - Fortinet Inc 0.40% $ 309,53M -33.18%


NGG - National Grid 0.40% $ 308M -0.03%
Plc Sponsored Adr Ne

MA - Mastercard Inc Cl 0.40% $ 306,65M NEW


A
FFIV - F5 Networks Inc 0.40% $ 305,70M -19.05%

CBOE - Cboe Hldgs 0.39% $ 304M -1.39%


Inc
INCY - Incyte Corp 0.39% $ 303,40M -2.30%
NFLX - Netflix Inc 0.38% $ 296,08M -1.86%
UPST - Upstart Hldgs 0.38% $ 292,04M 38.16%
Inc Com
DBX - Dropbox Inc Cl 0.36% $ 280,32M 18.95%
A
BIIB - Biogen Inc 0.36% $ 277,81M -26.19%
NVS - Novartis Ag Sp 0.35% $ 270,47M 37.23%
Adr
CAT - Caterpillar Inc 0.34% $ 265,36M 32.56%

0.351
SHARES 2.68
21,64M
1.61
3,18M
1.22
4,62M 1.09
3,22M

1.08
2,96M
0.99
2M
0.97
18,57M 0.92
3,43M 0.91
3,09M 0.91
6,86M
0.82
1,33M
0.81
813,98k
0.79
6,91M
0.77
1,03M
0.76
4,52M
0.72
3,03M
0.72
2,05M
0.71
3,27M 0.68
196,55k
0.67
3,58M
0.66
1,56M 0.64
3,04M
0.6
2,77M
0.6
3,58M
0.58
8,63M 0.57
28,58M
0.55
3,04M
0.54
7,12M
0.53
6,88M
0.53
1,55M 0.5
5,50M
0.48
8,75M 0.48
17,55M 0.47
9,41M

0.46
3,25M

0.44
1,89M
0.43
1,36M
0.43
1,50M 0.42
123,48k 0.41
7,46M 0.4
12,96M

0.4
1,06M 0.4
5,17M

0.4
882k
0.4
1,54M
0.39
2,45M
0.39
4,41M 0.38
485,10k 0.38
922,90k
0.36
9,59M
0.36
981,71k 0.35
3,31M
0.34
1,38M

You might also like