Investment Fund

347 Total Holdings:
As of 12/31/25
All Holdings: 1 - 15 of 347
Security Name Asset Type Shares or
Principal Amount
Market Value Percent of
Net Assets
descending arrow
Taiwan Semiconductor Manufacturing Co., Ltd. Equity 136,918,995 $6,688,955,360.00 4.7%
Broadcom, Inc. Equity 18,319,387 $6,340,339,841.00 4.45%
Microsoft Corp. Equity 10,002,866 $4,837,586,055.00 3.4%
NVIDIA Corp. Equity 19,189,415 $3,578,825,898.00 2.51%
Philip Morris International, Inc. Equity 18,157,308 $2,912,432,203.00 2.05%
Eli Lilly and Co. Equity 2,486,649 $2,672,351,947.00 1.88%
Apple, Inc. Equity 9,602,120 $2,610,432,343.00 1.83%
Alphabet, Inc., Class A Equity 8,176,370 $2,559,203,810.00 1.8%
Alphabet, Inc., Class C Equity 7,683,731 $2,411,154,788.00 1.69%
Amazon.com, Inc. Equity 9,907,632 $2,286,879,618.00 1.61%
Micron Technology, Inc. Equity 7,633,916 $2,178,795,966.00 1.53%
Capital Group Central Cash Fund Short Term 19,258,213 $1,926,013,922.00 1.35%
Meta Platforms, Inc., Class A Equity 2,800,170 $1,848,364,215.00 1.3%
General Electric Co. aka GE Aerospace Equity 5,482,599 $1,688,804,970.00 1.19%
Airbus SE, non-registered shares Equity 6,139,960 $1,424,184,061.00 1%
All Holdings: 1 - 15 of 347