Holding |
Shares |
Market Value |
Texas Instruments Inc. | 1,034,166 | $180,162,059 |
Pfizer Inc. | 6,422,129 | $178,214,080 |
ServiceNow Inc. | 233,163 | $177,763,471 |
Amgen Inc. | 609,535 | $173,302,991 |
Uber Technologies Inc. | 2,243,765 | $172,747,467 |
Union Pacific Corp. | 693,623 | $170,582,704 |
ConocoPhillips | 1,338,155 | $170,320,368 |
Lowe's Cos. Inc. | 654,126 | $166,625,516 |
Philip Morris International Inc. | 1,765,772 | $161,780,031 |
Intuitive Surgical Inc. | 400,724 | $159,924,941 |
Goldman Sachs Group Inc. | 371,001 | $154,963,408 |
Honeywell International Inc. | 741,831 | $152,260,813 |
S&P Global Inc. | 357,277 | $152,003,500 |
Micron Technology Inc. | 1,255,551 | $148,016,907 |
RTX Corp. | 1,509,210 | $147,193,251 |
NextEra Energy Inc. | 2,301,697 | $147,101,455 |
Lam Research Corp. | 149,116 | $144,876,632 |
AT&T Inc. | 8,132,146 | $143,125,770 |
Eaton Corp. plc | 454,189 | $142,015,817 |
Booking Holdings Inc. | 38,865 | $140,997,556 |
Stryker Corp. | 389,264 | $139,305,908 |
Progressive Corp. | 666,205 | $137,784,518 |
Anthem Inc. | 264,638 | $137,225,389 |
Prologis Inc. | 1,051,866 | $136,973,991 |
BlackRock Inc. | 160,743 | $134,011,439 |
Boeing Co. | 693,957 | $133,926,761 |
Medtronic plc | 1,512,360 | $131,802,174 |
TJX Cos. Inc. | 1,296,308 | $131,471,557 |
Morgan Stanley | 1,394,973 | $131,350,658 |
American Express Co. | 576,335 | $131,225,716 |
NIKE Inc. Class B | 1,384,301 | $130,096,608 |
Citigroup Inc. | 2,056,321 | $130,041,740 |
Lockheed Martin Corp. | 274,846 | $125,019,200 |
Bristol-Myers Squibb Co. | 2,299,815 | $124,718,967 |
Deere & Co. | 302,540 | $124,265,280 |
United Parcel Service Inc. Class B | 826,578 | $122,854,288 |
Vertex Pharmaceuticals Inc. | 293,788 | $122,806,322 |
Cigna Corp. | 332,685 | $120,827,865 |
Chubb Ltd. | 461,051 | $119,472,146 |
Starbucks Corp. | 1,287,651 | $117,678,425 |
Automatic Data Processing Inc. | 467,237 | $116,687,768 |
Charles Schwab Corp. | 1,612,109 | $116,619,965 |
Marsh & McLennan Cos. Inc. | 559,190 | $115,181,956 |
Boston Scientific Corp. | 1,668,655 | $114,286,181 |
CVS Health Corp. | 1,431,292 | $114,159,850 |
Regeneron Pharmaceuticals Inc. | 116,634 | $112,259,059 |
Analog Devices Inc. | 563,986 | $111,550,791 |
Blackstone Group LP | 818,195 | $107,486,277 |
KLA Corp. | 153,813 | $107,449,147 |
Fiserv Inc. | 671,499 | $107,318,970 |
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