Most Held
The names the most superinvestors own, in their latest filing.
Q2 2026
Stock Holders Avg weight Combined value
GOOGL Alphabet Inc Class A 36 3.6% $54,418,056,325
GOOG Alphabet Inc Class C 34 4.3% $29,067,220,330
AMZN Amazon.com Inc 33 5.6% $33,037,959,049
MSFT Microsoft Corporation 33 3.1% $23,915,554,294
META Meta Platforms Inc. 31 2.8% $18,467,511,931
TSM Taiwan Semiconductor Manufacturing 28 3.1% $18,089,105,839
V Visa Inc. Class A 28 2.6% $11,946,238,221
BRK/B 27 3.4% $4,636,582,749
AAPL Apple Inc 25 2.2% $77,270,210,365
BAC Bank of America Corp 24 3.3% $31,541,025,355
COF Capital One Financial Corporation 23 1.4% $10,064,968,481
JPM JPMorgan Chase & Co 22 0.9% $4,897,070,789
UNH UnitedHealth Group Incorporated 21 1.1% $8,691,176,110
NVDA NVIDIA Corporation 20 2.8% $23,659,561,921
WFC Wells Fargo & Company 19 3.5% $6,220,644,384
MA Mastercard Inc 19 3.1% $4,365,858,836
AXP American Express Company 18 1.7% $52,809,976,554
ELV Elevance Health Inc 18 2.0% $5,971,158,834
CMCSA Comcast Corp 18 0.6% $5,024,819,453
SPY SPY 17 5.4% $15,875,055,115
SCHW Charles Schwab Corp 17 1.8% $15,434,804,444
C Citigroup Inc. 17 2.2% $4,219,242,290
MRK Merck & Company Inc 17 1.0% $3,391,203,085
JNJ Johnson & Johnson 17 0.9% $2,925,975,255
BRK/A 17 3.4% $1,736,794,266
AVGO Broadcom Inc 16 1.0% $9,343,928,951
TMO Thermo Fisher Scientific Inc 16 1.3% $5,745,966,380
MU Micron Technology Inc 15 3.0% $32,224,975,431
CVX Chevron Corp 15 0.4% $15,780,945,922
AMAT Applied Materials Inc 15 1.4% $6,667,938,207
TXN Texas Instruments Incorporated 15 0.6% $4,792,498,126
UNP Union Pacific Corporation 15 1.0% $3,485,869,647
HD The Home Depot Inc 15 1.8% $2,897,063,691
CSCO Cisco Systems Inc 15 0.4% $1,468,315,340
MCO Moodys Corporation 14 1.7% $12,471,205,879
CVS CVS Health Corp 14 2.2% $9,271,740,664
COP ConocoPhillips 14 1.2% $6,670,003,557
BK The Bank of New York Mellon Corporat 14 0.8% $4,972,875,940
UBER Uber Technologies Inc 14 2.5% $3,813,856,605
AMD Advanced Micro Devices Inc 14 1.0% $3,424,277,255
ADI Analog Devices Inc 14 1.5% $2,851,729,078
SPGI S&P Global Inc 14 0.6% $2,338,746,350
PGR Progressive Corp 14 1.2% $1,142,467,099
PFE Pfizer Inc 14 1.3% $1,111,356,023
INTC Intel Corporation 13 1.5% $15,111,221,451
FDX FedEx Corporation 13 0.9% $6,727,539,810
AON Aon PLC 13 1.7% $5,302,231,590
CRM Salesforce.com Inc 13 1.6% $4,736,983,177
BMY Bristol-Myers Squibb Company 13 0.6% $4,116,636,836
NFLX Netflix Inc 13 0.8% $2,947,616,052
PM Philip Morris International Inc 13 0.4% $1,996,013,752
XOM Exxon Mobil Corp 13 0.2% $1,971,670,354
KKR KKR & Co. Inc. 13 0.8% $1,962,630,865
PEP PepsiCo Inc 13 0.3% $1,132,147,933
GS Goldman Sachs Group Inc 13 0.3% $1,078,757,385
KO The Coca-Cola Company 12 1.4% $33,738,819,792
LLY Eli Lilly and Company 12 0.9% $13,203,767,552
BN Brookfield Corp 12 3.1% $6,434,808,484
GEV GE Vernova LLC 12 0.9% $5,861,145,963
LIN Linde plc Ordinary Shares 12 0.7% $3,676,725,048