Institutions / Jennison Associates LLC

Jennison Associates LLC

CIK 53417 · Institution · as of Dec 31, 2025
Portfolio value
$166.57B
Positions
574
As of
Dec 31, 2025

Top holdings

Dec 31, 2025View all 574 →
CompanyClassValueShares% of portfolio
NVIDIA Corp$14.56B78,051,8058.7%
Microsoft Corp$10.18B21,051,2906.1%
Amazon.com Inc$10.03B43,437,2046.0%
Apple Inc.$9.70B35,669,0185.8%
Broadcom Inc.$7.58B21,892,2104.5%
Alphabet Inc.$6.84B21,851,2794.1%
ELI LILLY & Co$5.52B5,133,6763.3%
Meta Platforms Inc$5.51B8,350,5383.3%
Tesla Inc$4.72B10,484,8482.8%
Alphabet Inc.$4.57B14,575,1912.7%
Taiwan Semiconductor Manufacturing Co LtdTSMADR$4.07B13,394,2992.4%
Netflix Inc$3.27B34,871,9512.0%
Shopify Inc$3.05B18,966,4071.8%
Mastercard Inc$2.65B4,642,3161.6%
CrowdStrike Holdings, Inc.$2.58B5,507,8351.6%
Snowflake Inc.$2.55B11,603,3021.5%
Visa Inc$2.49B7,096,0581.5%
General Electric Co$2.47B8,008,0691.5%
Constellation Energy Corp$2.47B6,980,2231.5%
Cadence Design Systems Inc$2.41B7,715,5501.4%
Advanced Micro Devices Inc$2.34B10,910,3101.4%
Walmart Inc.$2.23B20,053,8551.3%
The Boeing Company$2.21B10,163,7071.3%
Costco Wholesale Corp /New$1.92B2,227,6351.2%
Walt Disney Co$1.90B16,688,0191.1%

Activity

Dec 31, 2025
InsidersInstitutions
This fund's 13F position changes — what it's buying and selling.
No quarter-over-quarter changes yet — position changes appear once we've ingested two consecutive 13F filings for this manager. We currently hold 1 quarter of holdings.