STATE STREET CORPSTATE STREET CORP

Institutional investor · Portfolio as of Q1 2025

SEC EDGAR SourceSEC Filings

Top Holdings4,281 positions

Activity:
Stock
Shares
Value
Weight
Avg Buy
Est. P&L
Held
Conviction

APPLE INC

596M$132.4B5.5%$195.01+11.25%
6 qtrssince 2023-Q4
Increased
62

MICROSOFT CORP

296M$111.1B4.6%$371.91+1.31%
6 qtrssince 2023-Q4
Increased
59

NVIDIA CORPORATION

968.7M$105B4.3%$117.14-6.39%
6 qtrssince 2023-Q4
Increased
58

AMAZON COM INC

368.9M$70.2B2.9%$155.10+24.26%
6 qtrssince 2023-Q4
Increased
55

META PLATFORMS INC

85.3M$49.1B2.0%$354.62+62.27%
6 qtrssince 2023-Q4
Decreased
0

BERKSHIRE HATHAWAY INC DEL

72.2M$38.5B1.6%$361.36+45.65%
6 qtrssince 2023-Q4
Increased
51

ALPHABET INC

225.9M$34.9B1.4%$139.60+10.24%
6 qtrssince 2023-Q4
Decreased
0

JPMORGAN CHASE & CO

127.5M$31.3B1.3%$163.01+45.99%
6 qtrssince 2023-Q4
Increased
50

BROADCOM INC

184.4M$30.9B1.3%$165.50+1.58%
6 qtrssince 2023-Q4
Decreased
0

TESLA INC

113.7M$29.5B1.2%$246.64+6.86%
6 qtrssince 2023-Q4
Increased
51

ALPHABET INC

186.5M$29.1B1.2%$140.32+10.91%
6 qtrssince 2023-Q4
Decreased
0

VISA INC

82.8M$29B1.2%$261.40+30.18%
6 qtrssince 2023-Q4
Increased
51

ELI LILLY & CO

34.4M$28.4B1.2%$579.97+40.78%
6 qtrssince 2023-Q4
Increased
50

EXXON MOBIL CORP

214.8M$25.5B1.1%$93.79+21.36%
6 qtrssince 2023-Q4
Decreased
0

CHEVRON CORPORATION

144.4M$24.2B1.0%$137.46+15.62%
6 qtrssince 2023-Q4
Decreased
0

UNITEDHEALTH GROUP INC

45.3M$23.7B1.0%$506.52-0.14%
6 qtrssince 2023-Q4
Decreased
0

JOHNSON & JOHNSON

133.8M$22.2B0.9%$147.49+8.57%
6 qtrssince 2023-Q4
Decreased
0

MASTERCARD INCORPORATED

36.1M$19.8B0.8%$423.98+26.78%
6 qtrssince 2023-Q4
Increased
45

COSTCO WHOLESALE CORPORATION

18.2M$17.2B0.7%$655.92+40.96%
6 qtrssince 2023-Q4
Increased
45

PROCTER & GAMBLE CO

100.2M$17.1B0.7%$138.56+18.03%
6 qtrssince 2023-Q4
Decreased
0
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$2.4T
AUM
4,281
Positions
Q1 2025
Filing
Rating · 2.0
Quarterly Portfolio Change
+9%Q1'24$2.2T+2%Q2'24$2.3T+7%Q3'24$2.5T+3%Q4'24$2.5T-4%Q1'25$2.4T
Activity profile
$ moved · Q1'25
New0%Increased57%Decreased42%Exited1%
Composition
Equity vs derivatives
Equity100%Puts0%Calls0%
Holding period
Avg 1.2 years
<1Q2%1-4Q6%1-2Y90%2Y+2%

STATE STREET CORP manages $2.4T across 4281 positions as of Q1 2025. Top holdings: AAPL (5.5%), MSFT (4.6%), NVDA (4.3%). Fund DNA: Steady Compounder. HoldingsIntel Rating: 2/5.0.

Q1 2025 Summary

Active quarter - 92 new positions, 110 exits, 1538 increased. Top move: AAPL (INCREASED, conviction 62). Portfolio: $2.4T across 4281 positions.

Top holdings by portfolio weight

Total AUM$2.4T
AAPL5.46%
MSFT4.58%
NVDA4.33%
AMZN2.89%
META2.03%
BRK/B1.59%
GOOGL1.44%
JPM1.29%
AVGO1.27%
TSLA1.21%
Other1.20%

Portfolio allocation by GICS sector

Sectors11
Technology26.72%
Financial Services14.60%
Healthcare11.40%
Consumer Cyclical9.72%
Industrials9.30%
Communication Services7.99%
Consumer Defensive5.69%
Energy4.70%
Real Estate3.54%
Utilities3.03%
Other3.33%

Behavioral investing profile

7-dimension quality assessment
Below Average(2.0 / 5.0)
Track Record50
Conviction44
Concentration0
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Position Outcomes

Best and worst performing positions by estimated return

Cost basis estimates based on full filing history using quarter-end prices. Actual transaction prices are not disclosed in 13F filings.

Accumulation Streaks

Positions with 2+ consecutive quarters of increases - persistent directional conviction.

Security
7Q
COFSCHOICEONE FINANCIA
Q3 2024 Q1 2026+230,287 shares+$6.4M
7Q
EQBKEQUITY BANCSHARES INC
Q3 2024 Q1 2026+191,297 shares+$11.4M
7Q
SWIMLATHAM GROUP INC
Q3 2024 Q1 2026+198,954 shares+$2.8M

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Data sourced from SEC EDGAR 13F filings. Not financial advice. Full disclaimer

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