Filer Name: WELLINGTON MANAGEMENT GROUP LLP
CIK: 902219
Period: 2024-12-31
Filed At: 2025-02-12
Number of Holdings: 1,924
Portfolio Value: $546.06B

Wellington Management Group Llp Top Holdings

Ticker Exchange Security Shares Value % of Portfolio Position Change Put/Call
AAPL US APPLE INC 89,249,664 $22,350M 4.09% -7.4% -
MSFT US MICROSOFT CORP 52,992,124 $22,336M 4.09% -2.0% -
NVDA US NVIDIA CORP 141,850,570 $19,049M 3.49% -29.5% -
AMZN US AMAZON.COM INC 66,385,257 $14,564M 2.67% -5.7% -
GOOGL US ALPHABET INC-CL A 66,050,135 $12,503M 2.29% 15.9% -
UNH US UNITEDHEALTH GROUP INC 23,361,101 $11,817M 2.16% -6.0% -
AVGO US BROADCOM INC 46,518,113 $10,785M 1.98% -1.7% -
LLY US ELI LILLY & CO 12,625,925 $9,747M 1.79% 19.0% -
MRK US MERCK & CO. INC. 80,742,030 $8,032M 1.47% 6.5% -
JPM US JPMORGAN CHASE & CO 29,330,608 $7,031M 1.29% -1.6% -
WFC US WELLS FARGO & CO 87,311,748 $6,133M 1.12% -4.3% -
META US META PLATFORMS INC-CLASS A 9,793,321 $5,734M 1.05% 3766561.9% -
MA US MASTERCARD INC - A 9,760,740 $5,140M 0.94% 9.1% -
DHR US DANAHER CORP 21,318,827 $4,894M 0.90% -8.5% -
AXP US AMERICAN EXPRESS CO 15,857,117 $4,706M 0.86% -1.3% -
GOOG US ALPHABET INC-CL C 23,038,243 $4,387M 0.80% 0.0% -
ACN US ACCENTURE PLC-CL A 12,175,518 $4,283M 0.78% 22.8% -
TJX US TJX COMPANIES INC 34,836,179 $4,209M 0.77% -7.6% -
TSLA US TESLA INC 10,174,135 $4,109M 0.75% 38.5% -
MCD US MCDONALD'S CORP 14,016,570 $4,063M 0.74% -7.1% -
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