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QRG CAPITAL MANAGEMENT, INC.
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Back to QRG CAPITAL MANAGEMENT, INC.
Q
Qrg Capital Management, Inc.
All holdings · as of Dec 31, 2025
1,077 positions
All types
Company
Class
Value
↓
Shares
% of portfolio
NVIDIA Corp
—
$618.08M
3,314,091
6.9%
Apple Inc.
—
$568.36M
2,090,638
6.3%
MICROSOFT CORP
—
$515.49M
1,065,907
5.7%
Amazon.com Inc
—
$306.84M
1,329,340
3.4%
Alphabet Inc.
—
$276.00M
881,794
3.1%
Broadcom Inc.
—
$244.82M
707,367
2.7%
Alphabet Inc.
—
$213.24M
679,545
2.4%
Meta Platforms Inc
—
$201.27M
304,917
2.2%
Tesla Inc
—
$176.29M
392,000
2.0%
JPMORGAN CHASE & CO
—
$144.34M
447,945
1.6%
ELI LILLY & Co
—
$121.88M
113,411
1.4%
Warren E. Buffett
—
$90.99M
181,022
1.0%
Walmart Inc.
—
$89.58M
804,077
1.0%
Visa Inc
—
$88.21M
251,530
1.0%
JOHNSON & JOHNSON
—
$80.46M
388,781
0.9%
EXXON MOBIL CORP
—
$72.34M
601,093
0.8%
Netflix Inc
—
$70.97M
756,923
0.8%
Mastercard Inc
—
$65.70M
115,091
0.7%
COSTCO WHOLESALE CORP /NEW
—
$64.34M
74,613
0.7%
Palantir Technologies Inc
—
$62.60M
352,178
0.7%
CISCO SYSTEMS, INC.
—
$59.55M
773,089
0.7%
THE GOLDMAN SACHS GROUP, INC.
—
$56.19M
63,928
0.6%
AbbVie Inc.
—
$55.68M
243,682
0.6%
AMPHENOL CORP /DE
—
$55.41M
410,004
0.6%
GENERAL ELECTRIC CO
—
$54.44M
176,727
0.6%
CATERPILLAR INC
—
$52.48M
91,604
0.6%
MICRON TECHNOLOGY INC
—
$51.88M
181,765
0.6%
VANGUARD INDEX FDS
—
$48.54M
154,188
0.5%
HOME DEPOT, INC.
—
$48.32M
140,439
0.5%
WELLS FARGO & COMPANY/MN
—
$47.83M
513,187
0.5%
ORACLE CORP
—
$46.51M
238,618
0.5%
APPLIED MATERIALS INC /DE
—
$45.24M
176,036
0.5%
ADVANCED MICRO DEVICES INC
—
$44.95M
209,884
0.5%
BANK OF AMERICA CORP /DE
—
$44.93M
816,849
0.5%
INTERNATIONAL BUSINESS MACHINES CORP
—
$44.71M
150,942
0.5%
Merck & Co., Inc.
—
$44.20M
419,909
0.5%
LAM RESEARCH CORP
—
$43.65M
254,991
0.5%
CHEVRON CORP
—
$43.13M
283,012
0.5%
PROCTER & GAMBLE Co
—
$42.03M
293,263
0.5%
CITIGROUP INC
—
$41.92M
359,249
0.5%
VANGUARD INDEX FDS
—
$41.65M
66,413
0.5%
TJX Cos Inc/The
—
$41.27M
268,680
0.5%
Morgan Stanley
—
$38.44M
216,523
0.4%
Salesforce Inc
—
$37.75M
142,489
0.4%
ABBOTT LABORATORIES
—
$36.86M
294,197
0.4%
INTUIT INC.
—
$34.29M
51,760
0.4%
RTX Corp
—
$34.10M
185,930
0.4%
Intuitive Surgical Inc
—
$33.07M
58,382
0.4%
UNITEDHEALTH GROUP INC
—
$32.87M
99,579
0.4%
HCA Healthcare, Inc.
—
$32.32M
69,236
0.4%
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