Institutions / BlackRock, Inc.

BlackRock, Inc.

CIK 2012383 ยท Institution ยท as of Jun 30, 2026
Portfolio value
$6.65T
Positions
5,648
As of
Jun 30, 2026

Portfolio trend

Portfolio value

$6.65T+14.2%
$6.65T$6.24T$5.82TQ4 '25Q2 '26

Positions

5,648+3.0%
5,6485,5655,481Q4 '25Q2 '26

Top holdings

CompanyClassValueShares% of portfolio
NVIDIA Corpโ€”$388.56B1,941,918,3865.8%
Apple Inc.โ€”$336.52B1,162,996,9395.1%
Microsoft Corpโ€”$226.56B607,367,1133.4%
Amazon.com Incโ€”$178.37B748,403,5392.7%
Alphabet Inc.โ€”$164.74B460,972,8032.5%
Broadcom Inc.โ€”$150.43B398,213,8262.3%
Alphabet Inc.โ€”$130.70B369,922,5022.0%
Micron Technology Incโ€”$121.00B104,827,2191.8%
Meta Platforms Incโ€”$97.67B173,396,9761.5%
Tesla Incโ€”$90.06B214,123,1291.4%
Advanced Micro Devices Incโ€”$87.31B150,301,5101.3%
ELI LILLY & Coโ€”$81.01B67,540,4001.2%
JPMORGAN CHASE & COโ€”$67.53B206,290,5371.0%
iShares Trโ€”$65.84B87,920,8421.0%
Intel Corpโ€”$59.55B426,478,9620.9%
Applied Materials Inc /Deโ€”$57.99B80,212,5180.9%
Lam Research Corpโ€”$57.51B132,727,7760.9%
Johnson & Johnsonโ€”$53.87B212,098,2640.8%
Visa Incโ€”$47.23B137,669,0610.7%
Exxon Mobil Corpโ€”$45.77B334,746,4960.7%
Cisco Systems, Inc.โ€”$42.13B358,672,2890.6%
Caterpillar Incโ€”$40.46B37,991,5050.6%
Walmart Inc.โ€”$40.12B354,196,2080.6%
Kla Corpโ€”$38.08B126,198,6530.6%
AbbVie Inc.โ€”$37.62B149,488,4120.6%

Activity

InsidersInstitutions
This fund's 13F position changes โ€” what it's buying and selling.
DateActionCompanyValueShares ฮ”Position afterImpact
Q2 2026
as of
AddKla Corp$34.34B+113.8M
+918.77%
126,198,653
0.57% of portfolio
high
Q2 2026
as of
AddBooking Holdings Inc$11.16B+62.6M
+2270.70%
65,340,562
0.18% of portfolio
high
Q2 2026
as of
ExitHoneywell International Inc$-10.26B-52.6M
-100.00%
โ€”
high
Q2 2026
as of
NewSPCX
Space Exploration Technologies Corp
Common Stock
$8.72B+51.0M
51,037,137
0.13% of portfolio
high
Q2 2026
as of
AddMarvell Technology, Inc.$7.70B+25.8M
+43.20%
85,641,174
0.38% of portfolio
high
Q2 2026
as of
AddBroadcom Inc.$6.92B+18.3M
+4.82%
398,213,826
2.26% of portfolio
high
Q2 2026
as of
AddAlphabet Inc.$6.78B+19.0M
+4.30%
460,972,803
2.48% of portfolio
high
Q2 2026
as of
AddPalo Alto Networks Inc$5.52B+16.2M
+27.18%
75,753,509
0.39% of portfolio
high
Q2 2026
as of
Add464287200$5.48B+7.3M
+9.08%
87,920,842
0.99% of portfolio
high
Q2 2026
as of
NewHONA
Honeywell Aerospace Inc.
Common Stock
$5.25B+23.8M
23,762,174
0.08% of portfolio
high