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Motley Fool Asset Management LLC
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MF
Motley Fool Asset Management LLC
All holdings · as of Dec 31, 2025
243 positions
All types
Company
▲
▼
Class
Value
▲
▼
Shares
▲
▼
% of portfolio
▲
▼
NVIDIA Corp
—
$163.46M
876,480
6.4%
Alphabet Inc.
—
$163.46M
520,905
6.4%
Apple Inc.
—
$145.41M
534,884
5.7%
MICROSOFT CORP
—
$130.38M
269,595
5.1%
Amazon.com Inc
—
$113.64M
492,337
4.4%
Meta Platforms Inc
—
$76.06M
115,226
3.0%
Broadcom Inc.
—
$72.93M
210,716
2.8%
Mastercard Inc
—
$68.68M
120,299
2.7%
Visa Inc
—
$67.06M
191,206
2.6%
Tesla Inc
—
$66.79M
148,523
2.6%
COSTCO WHOLESALE CORP /NEW
—
$52.30M
60,650
2.0%
Walmart Inc.
—
$44.99M
403,796
1.8%
Netflix Inc
—
$44.45M
474,104
1.7%
Warren E. Buffett
—
$43.01M
85,576
1.7%
JPMORGAN CHASE & CO
—
$40.56M
125,867
1.6%
ADVANCED MICRO DEVICES INC
—
$32.48M
151,673
1.3%
Salesforce Inc
—
$32.18M
121,479
1.3%
CHEVRON CORP
—
$28.40M
186,332
1.1%
THE GOLDMAN SACHS GROUP, INC.
—
$25.70M
29,234
1.0%
StoneX Group Inc.
—
$24.73M
259,961
1.0%
LAM RESEARCH CORP
—
$22.84M
133,447
0.9%
AppLovin Corp
—
$21.39M
31,738
0.8%
T-Mobile US, Inc.
TMUS
Common Stock
$21.25M
104,652
0.8%
Intuitive Surgical Inc
—
$20.90M
36,908
0.8%
Axon Enterprise Inc
—
$20.69M
36,429
0.8%
Walt Disney Co
—
$19.01M
167,121
0.7%
TJX Cos Inc/The
—
$18.45M
120,139
0.7%
Booking Holdings Inc
—
$18.15M
3,390
0.7%
INTUIT INC.
—
$17.15M
25,883
0.7%
Arista Networks, Inc.
ANET
Common Stock
$17.05M
130,114
0.7%
ServiceNow Inc
—
$16.59M
108,285
0.6%
Dexcom Inc
—
$16.54M
249,215
0.6%
AMGEN INC
—
$16.53M
50,503
0.6%
American Tower Corp
—
$16.45M
93,699
0.6%
Equinix Inc
—
$16.15M
21,073
0.6%
GILEAD SCIENCES, INC.
—
$16.12M
131,295
0.6%
ADOBE INC.
—
$16.10M
46,007
0.6%
Uber Technologies, Inc
—
$15.89M
194,471
0.6%
Waste Connections Inc
—
$15.13M
86,300
0.6%
Union Pacific Corp
—
$14.17M
61,278
0.6%
Palo Alto Networks Inc
—
$13.18M
71,543
0.5%
Waters Corp
—
$12.57M
33,090
0.5%
PROGRESSIVE CORP/OH
—
$12.42M
54,531
0.5%
Watsco, Inc.
—
$12.40M
36,786
0.5%
TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD
TSM
ADR
$12.33M
40,577
0.5%
CrowdStrike Holdings, Inc.
—
$12.20M
26,018
0.5%
Fastenal Co
—
$11.80M
294,094
0.5%
BRISTOL MYERS SQUIBB CO
—
$11.68M
216,468
0.5%
HCA Healthcare, Inc.
—
$11.66M
24,971
0.5%
ICON plc
—
$11.54M
63,342
0.4%
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