NVIDIA CORPORATION · NVDA
Value$65.22B
Weight6.50%
Shares325,951,734
ChangeTrim-0.16%
Norway's sovereign wealth fund · CIK 0001374170 · filed 2026-08-12
Large filing: showing 400 of 1,617 equities. Remaining positions are not included in this explorer.
| Company | Type | Shares | Value ▼ | Weight | Change | Sector |
|---|---|---|---|---|---|---|
| NVIDIA CORPORATION · NVDA | Equity | 325,951,734 | $65.22B | 6.50% | Trim-0.16% | Information Technology |
| APPLE INC · AAPL | Equity | 190,726,866 | $55.19B | 5.50% | Trim-0.09% | Information Technology |
| MICROSOFT CORP · MSFT | Equity | 102,732,956 | $38.32B | 3.82% | Trim-1.60% | Information Technology |
| AMAZON COM INC · AMZN | Equity | 140,565,601 | $33.50B | 3.34% | Trim-0.18% | Consumer Discretionary |
| ALPHABET INC · GOOGL | Equity | 80,931,418 | $28.92B | 2.88% | Trim-0.38% | Communication Services |
| ALPHABET INC · GOOG | Equity | 74,788,768 | $26.43B | 2.63% | Add+0.70% | Communication Services |
| BROADCOM INC · AVGO | Equity | 65,970,988 | $24.92B | 2.48% | Trim-0.11% | Information Technology |
| META PLATFORMS INC · META | Equity | 32,726,903 | $18.43B | 1.84% | Trim-0.53% | Communication Services |
| MICRON TECHNOLOGY INC · MU | Equity | 15,180,843 | $17.52B | 1.75% | Trim+1.06% | Information Technology |
| TESLA INC · TSLA | Equity | 38,812,422 | $16.32B | 1.63% | Add-0.21% | Consumer Discretionary |
| ELI LILLY & CO · LLY | Equity | 11,471,413 | $13.76B | 1.37% | Trim-0.02% | Health Care |
| ADVANCED MICRO DEVICES INC · AMD | Equity | 23,361,170 | $13.57B | 1.35% | Add+0.83% | Information Technology |
| JPMORGAN CHASE & CO · JPM | Equity | 36,122,327 | $11.82B | 1.18% | Add-0.04% | Financials |