Investment Fund

182 Total Holdings:
As of 6/30/26
All Holdings: 1 - 15 of 182
Security Name Asset Type Shares or
Principal Amount
Market Value Percent of
Net Assets
descending arrow
Micron Technology, Inc. Equity 3,277,150 $3,782,781,474.00 7.3%
SK hynix, Inc. Equity 1,680,625 $2,965,152,516.00 5.72%
Broadcom, Inc. Equity 6,642,691 $2,509,276,525.00 4.84%
Western Digital Corp. Equity 2,771,546 $1,770,241,861.00 3.42%
Alphabet, Inc., Class A Equity 4,886,667 $1,746,348,186.00 3.37%
Amazon.com, Inc. Equity 6,821,178 $1,625,759,565.00 3.14%
Taiwan Semiconductor Manufacturing Co., Ltd. Equity 21,130,000 $1,622,544,076.00 3.13%
Taiwan Semiconductor Manufacturing Co., Ltd. (ADR) Equity 3,337,220 $1,593,756,155.00 3.08%
NVIDIA Corp. Equity 6,589,687 $1,318,530,472.00 2.55%
Capital Group Central Cash Fund Short Term 12,777,946 $1,277,666,814.00 2.47%
Alphabet, Inc., Class C Equity 3,055,362 $1,079,551,055.00 2.08%
Microsoft Corp. Equity 2,777,952 $1,036,231,655.00 2%
AppLovin Corp., Class A Equity 1,960,255 $1,009,982,184.00 1.95%
Vertex Pharmaceuticals, Inc. Equity 1,618,634 $804,024,067.00 1.55%
Eli Lilly and Co. Equity 661,964 $793,979,481.00 1.53%
All Holdings: 1 - 15 of 182