National Pension Service Q3 2024 Filing

Filed October 30, 2024

Portfolio Value

$103.7B

Holdings

511

Report Date

Q3 2024

Filing Type

13F-HR

All Holdings (511 positions)

#StockSharesValue% PortfolioType
1
AAPLAPPLEINC
27,882,996$6.5T6265.23%
2
NVDANVIDIACORPORATION
47,220,708$5.7T5530.14%
3
MSFTMICROSOFTCORP
13,229,414$5.7T5489.77%
4
PBUSINVESCOEXCHTRADEDFDTRII
72,309,919$4.2T4002.69%
5
AMZNAMAZONCOMINC
16,920,526$3.2T3040.45%
6
METAMETAPLATFORMSINC
4,318,046$2.5T2383.74%
7
IVVISHARESTR
4,119,355$2.4T2291.38%
8
GOOGLALPHABETINC
11,282,407$1.9T1804.51%
9
GOOGALPHABETINC
9,903,537$1.7T1596.77%
10
AVGOBROADCOMINC
8,273,157$1.4T1376.27%
11
LLYELILILLY&CO
1,544,484$1.4T1319.56%
12
TSLATESLAINC
5,182,657$1.4T1307.62%
13
JPMJPMORGANCHASE&CO.
5,259,001$1.1T1069.40%
14
BRK/BBERKSHIREHATHAWAYINCDEL
2,296,732$1.1T1019.42%
15
XOMEXXONMOBILCORP
8,523,462$999.1B963.52%
16
UNHUNITEDHEALTHGROUPINC
1,704,560$996.6B961.11%
17
VVISAINC
2,959,960$813.8B784.84%
18
HDHOMEDEPOTINC
1,858,658$753.1B726.29%
19
PGPROCTERANDGAMBLECO
4,305,077$745.6B719.07%
20
MAMASTERCARDINCORPORATED
1,506,270$743.8B717.29%
21
JNJJOHNSON&JOHNSON
4,567,654$740.2B713.86%
22
COSTCOSTCOWHSLCORPNEW
812,686$720.5B694.79%
23
WMTWALMARTINC
8,783,578$709.3B684.00%
24
ABBVABBVIEINC
3,351,522$661.9B638.27%
25
NFLXNETFLIXINC
868,368$615.9B593.96%
26
ORCLORACLECORP
3,238,861$551.9B532.23%
27
KOCOCACOLACO
7,617,098$547.4B527.86%
28
MRKMERCK&COINC
4,786,264$543.5B524.16%
29
BACBANKAMERICACORP
13,502,778$535.8B516.70%
30
CRMSALESFORCEINC
1,918,942$525.2B506.52%
31
AMDADVANCEDMICRODEVICESINC
3,137,750$514.8B496.50%
32
CVXCHEVRONCORPNEW
3,332,160$490.7B473.24%
33
ADBEADOBEINC
878,795$455.0B438.81%
34
ACNACCENTUREPLCIRELAND
1,275,036$450.7B434.64%
35
LINLINDEPLC
940,201$448.3B432.37%
36
CSCOCISCOSYSINC
8,383,820$446.2B430.29%
37
MCDMCDONALDSCORP
1,465,207$446.2B430.27%
38
IBMINTERNATIONALBUSINESSMACHS
1,983,214$438.4B422.82%
39
TMOTHERMOFISHERSCIENTIFICINC
702,529$434.6B419.08%
40
PEPPEPSICOINC
2,548,981$433.5B418.01%
41
GEGEAEROSPACE
2,216,753$418.0B403.14%
42
BACVERIZONCOMMUNICATIONSINC
9,226,214$414.3B399.58%
43
QCOMQUALCOMMINC
2,398,469$407.9B393.33%
44
AMATAPPLIEDMATLSINC
2,006,828$405.5B391.03%
45
CATCATERPILLARINC
1,022,097$399.8B385.52%
46
INTUINTUIT
626,313$388.9B375.08%
47
WFCWELLSFARGOCONEW
6,789,371$383.5B369.86%
48
TXNTEXASINSTRSINC
1,796,360$371.1B357.85%
49
DHRDANAHERCORPORATION
1,334,479$371.0B357.79%
50
4I1PHILIPMORRISINTLINC
3,045,606$369.7B356.56%
51
ABTABBOTTLABS
3,212,494$366.3B353.20%
52
CMCSACOMCASTCORPNEW
8,701,529$363.5B350.51%
53
DISDISNEYWALTCO
3,702,049$356.1B343.41%
54
NOWSERVICENOWINC
388,583$347.5B335.16%
55
TAT&TINC
15,769,707$346.9B334.57%
56
BKNGBOOKINGHOLDINGSINC
82,130$345.9B333.61%
57
TSPATROWEPRICEETFINC
9,513,375$343.5B331.29%
58
AMGNAMGENINC
1,064,291$342.9B330.71%
59
NEENEXTERAENERGYINC
3,960,232$334.8B322.83%
60
PFEPFIZERINC
11,516,769$333.3B321.42%
61
GSGOLDMANSACHSGROUPINC
662,688$328.1B316.41%
62
ISRGINTUITIVESURGICALINC
648,762$318.7B307.36%
63
AXPAMERICANEXPRESSCO
1,153,099$312.7B301.58%
64
TJXTJXCOSINCNEW
2,637,369$310.0B298.95%
65
LOWLOWESCOSINC
1,137,934$308.2B297.23%
66
RTXRTXCORPORATION
2,483,792$300.9B290.21%
67
SPGIS&PGLOBALINC
578,826$299.0B288.38%
68
BSXBOSTONSCIENTIFICCORP
3,523,754$295.3B284.77%
69
ETNEATONCORPPLC
865,820$287.0B276.74%
70
EWPISHARESINC
8,092,278$286.1B275.87%
71
UBERUBERTECHNOLOGIESINC
3,787,463$284.7B274.52%
72
PGRPROGRESSIVECORP
1,089,558$276.5B266.63%
73
UNPUNIONPACCORP
1,105,998$272.6B262.89%
74
MUMICRONTECHNOLOGYINC
2,577,306$267.3B257.77%
75
SYKSTRYKERCORPORATION
733,536$265.0B255.55%
76
PLDPROLOGISINC.
2,022,234$255.4B246.27%
77
TMUST-MOBILEUSINC
1,231,751$254.2B245.13%
78
PANWPALOALTONETWORKSINC
738,962$252.6B243.58%
79
MLB1MERCADOLIBREINC
120,599$247.5B238.65%
80
COPCONOCOPHILLIPS
2,348,415$247.2B238.43%
81
DWDMORGANSTANLEY
2,371,049$247.2B238.35%
82
ELVELEVANCEHEALTHINC
474,072$246.5B237.73%
83
AMTAMERICANTOWERCORPNEW
1,059,124$246.3B237.53%
84
HONHONEYWELLINTLINC
1,187,947$245.6B236.81%
85
BMYBRISTOL-MYERSSQUIBBCO
4,672,762$241.8B233.15%
86
LMTLOCKHEEDMARTINCORP
412,704$241.3B232.65%
87
MDTMEDTRONICPLC
2,678,032$241.1B232.51%
88
TRVCCITIGROUPINC
3,835,198$240.1B231.53%
89
VRTXVERTEXPHARMACEUTICALSINC
511,047$237.7B229.21%
90
ADIANALOGDEVICESINC
1,030,759$237.2B228.79%
91
ANETEURARISTANETWORKSINC
615,101$236.1B227.68%
92
GILDGILEADSCIENCESINC
2,807,643$235.4B227.00%
93
REGNREGENERONPHARMACEUTICALS
223,617$235.1B226.70%
94
CBCHUBBLIMITED
813,125$234.5B226.14%
95
TTTRANETECHNOLOGIESPLC
598,134$232.5B224.23%
96
KLACKLACORP
296,646$229.7B221.54%
97
HCAHCAHEALTHCAREINC
550,654$223.8B215.83%
98
SOSOUTHERNCO
2,420,890$218.3B210.54%
99
SBUXSTARBUCKSCORP
2,219,465$216.4B208.66%
100
BXBLACKSTONEINC
1,406,583$215.4B207.71%
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