Investment Fund

330 Total Holdings:
As of 12/31/25
All Holdings: 1 - 15 of 330
Security Name Asset Type Shares or
Principal Amount
Market Value Percent of
Net Assets
descending arrow
NVIDIA Corp. Equity 109,053,636 $20,338,503,114.00 6.05%
Broadcom, Inc. Equity 44,831,935 $15,516,332,704.00 4.62%
Microsoft Corp. Equity 31,977,079 $15,464,754,946.00 4.6%
Meta Platforms, Inc., Class A Equity 19,868,074 $13,114,716,967.00 3.9%
Eli Lilly and Co. Equity 11,713,232 $12,587,976,166.00 3.75%
Alphabet, Inc., Class A Equity 33,428,049 $10,462,979,337.00 3.11%
Amazon.com, Inc. Equity 45,058,122 $10,400,315,720.00 3.1%
Alphabet, Inc., Class C Equity 30,780,237 $9,658,838,371.00 2.87%
Tesla, Inc. Equity 21,101,101 $9,489,587,142.00 2.82%
Apple, Inc. Equity 26,686,201 $7,254,910,604.00 2.16%
Capital Group Central Cash Fund Short Term 66,885,751 $6,689,243,925.00 1.99%
Taiwan Semiconductor Manufacturing Co., Ltd. Equity 124,906,875 $6,102,122,726.00 1.82%
Netflix, Inc. Equity 63,784,516 $5,980,436,220.00 1.78%
Vertex Pharmaceuticals, Inc. Equity 12,982,685 $5,885,830,072.00 1.75%
Royal Caribbean Cruises, Ltd. Equity 18,906,989 $5,273,537,372.00 1.57%
All Holdings: 1 - 15 of 330