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)

StockValue
AAPLAPPLEINC
$6.5B
NVDANVIDIACORPORATION
$5.7B
MSFTMICROSOFTCORP
$5.7B
PBUSINVESCOEXCHTRADEDFDTRII
$4.2B
AMZNAMAZONCOMINC
$3.2B
GOOGLALPHABETINC
$1.9B
GOOGALPHABETINC
$1.7B
AVGOBROADCOMINC
$1.4B
TSLATESLAINC
$1.4B
JPMJPMORGANCHASE&CO.
$1.1B
BRK/BBERKSHIREHATHAWAYINCDEL
$1.1B
XOMEXXONMOBILCORP
$999.0M
VVISAINC
$813.0M
HDHOMEDEPOTINC
$753.0M
PGPROCTERANDGAMBLECO
$745.0M
MAMASTERCARDINCORPORATED
$743.0M
JNJJOHNSON&JOHNSON
$740.0M
WMTWALMARTINC
$709.0M
ABBVABBVIEINC
$661.0M
ORCLORACLECORP
$551.0M
KOCOCACOLACO
$547.0M
MRKMERCK&COINC
$543.0M
BACBANKAMERICACORP
$535.0M
CRMSALESFORCEINC
$525.0M
AMDADVANCEDMICRODEVICESINC
$514.0M
CVXCHEVRONCORPNEW
$490.0M
ACNACCENTUREPLCIRELAND
$450.0M
LINLINDEPLC
$448.0M
MCDMCDONALDSCORP
$446.0M
CSCOCISCOSYSINC
$446.0M
IBMINTERNATIONALBUSINESSMACHS
$438.0M
PEPPEPSICOINC
$433.0M
GEGEAEROSPACE
$418.0M
BACVERIZONCOMMUNICATIONSINC
$414.0M
QCOMQUALCOMMINC
$407.0M
AMATAPPLIEDMATLSINC
$405.0M
CATCATERPILLARINC
$399.0M
WFCWELLSFARGOCONEW
$383.0M
TXNTEXASINSTRSINC
$371.0M
DHRDANAHERCORPORATION
$371.0M
4I1PHILIPMORRISINTLINC
$369.0M
ABTABBOTTLABS
$366.0M
CMCSACOMCASTCORPNEW
$363.0M
DISDISNEYWALTCO
$356.0M
TAT&TINC
$346.0M
TSPATROWEPRICEETFINC
$343.0M
AMGNAMGENINC
$342.0M
NEENEXTERAENERGYINC
$334.0M
PFEPFIZERINC
$333.0M
GSGOLDMANSACHSGROUPINC
$328.0M
ISRGINTUITIVESURGICALINC
$318.0M
AXPAMERICANEXPRESSCO
$312.0M
TJXTJXCOSINCNEW
$309.0M
LOWLOWESCOSINC
$308.0M
RTXRTXCORPORATION
$300.0M
BSXBOSTONSCIENTIFICCORP
$295.0M
ETNEATONCORPPLC
$286.0M
EWPISHARESINC
$286.0M
UBERUBERTECHNOLOGIESINC
$284.0M
PGRPROGRESSIVECORP
$276.0M
UNPUNIONPACCORP
$272.0M
MUMICRONTECHNOLOGYINC
$267.0M
SYKSTRYKERCORPORATION
$264.0M
PLDPROLOGISINC.
$255.0M
TMUST-MOBILEUSINC
$254.0M
PANWPALOALTONETWORKSINC
$252.0M
DWDMORGANSTANLEY
$247.0M
COPCONOCOPHILLIPS
$247.0M
AMTAMERICANTOWERCORPNEW
$246.0M
HONHONEYWELLINTLINC
$245.0M
MDTMEDTRONICPLC
$241.0M
BMYBRISTOL-MYERSSQUIBBCO
$241.0M
TRVCCITIGROUPINC
$240.0M
ADIANALOGDEVICESINC
$237.0M
VRTXVERTEXPHARMACEUTICALSINC
$237.0M
ANETEURARISTANETWORKSINC
$236.0M
GILDGILEADSCIENCESINC
$235.0M
CBCHUBBLIMITED
$234.0M
TTTRANETECHNOLOGIESPLC
$232.0M
HCAHCAHEALTHCAREINC
$223.0M
SOSOUTHERNCO
$218.0M
SBUXSTARBUCKSCORP
$216.0M
BXBLACKSTONEINC
$215.0M
CITHECIGNAGROUP
$214.0M
DHIDRHORTONINC
$211.0M
MRSHMARSH&MCLENNANCOSINC
$211.0M
ADPAUTOMATICDATAPROCESSINGIN
$209.0M
CMGCHIPOTLEMEXICANGRILLINC
$207.0M
DEDEERE&CO
$205.0M
DUKDUKEENERGYCORPNEW
$205.0M
MOALTRIAGROUPINC
$205.0M
FISVFISERVINC
$199.0M
MDLZMONDELEZINTLINC
$198.0M
APHAMPHENOLCORPNEW
$197.0M
NKENIKEINC
$195.0M
NXPINXPSEMICONDUCTORSNV
$195.0M
CLCOLGATEPALMOLIVECO
$194.0M
INTCINTELCORP
$193.0M
SHWSHERWINWILLIAMSCO
$190.0M
CDNSCADENCEDESIGNSYSTEMINC
$190.0M
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