GEODE CAPITAL MANAGEMENT, LLCGEODE CAPITAL MANAGEMENT, LLC

Institutional investor · Portfolio as of Q3 2022

Top Holdings5,029 positions

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Activity:

Apple Inc.

279.8M$38.6B5.9%$65.01+108.52%
16 qtrssince 2018-Q4
Increased
62

Microsoft Corp.

139.5M$32.4B4.9%$147.53+52.78%
16 qtrssince 2018-Q4
Increased
60

Amazon.com, Inc.

157.7M$17.8B2.7%$98.98+14.17%
16 qtrssince 2018-Q4
Increased
57

Tesla Inc

47.5M$12.6B1.9%$155.71+70.34%
16 qtrssince 2018-Q4
Increased
81

Alphabet Inc.

115.2M$11B1.7%$69.32+36.68%
16 qtrssince 2018-Q4
Increased
81

Alphabet Inc.

96.5M$9.3B1.4%$65.04+46.45%
16 qtrssince 2018-Q4
Increased
81

UnitedHealth Group Inc.

16.6M$8.4B1.3%$266.37+75.47%
16 qtrssince 2018-Q4
Increased
51

Berkshire Hathaway Inc.

30.9M$8.2B1.3%$222.16+20.19%
16 qtrssince 2018-Q4
Increased
50

Johnson & Johnson

47.7M$7.8B1.2%$119.01+22.53%
16 qtrssince 2018-Q4
Increased
51

EXXON MOBIL CORP

74.6M$6.5B1.0%$51.95+51.71%
16 qtrssince 2018-Q4
Increased
45

Meta Platforms Inc

43.7M$5.9B0.9%$185.43-27.52%
16 qtrssince 2018-Q4
Increased
46

The Procter & Gamble Co.

45.9M$5.8B0.9%$97.07+17.12%
16 qtrssince 2018-Q4
Increased
45

Visa Inc

31.6M$5.6B0.9%$162.89+5.75%
16 qtrssince 2018-Q4
Increased
46

NVIDIA Corp.

45.1M$5.5B0.8%$7.48+61.73%
16 qtrssince 2018-Q4
Increased
45

JPMorgan Chase & Co.

50.2M$5.2B0.8%$101.29-6.37%
16 qtrssince 2018-Q4
Increased
46

Eli Lilly & Co.

16.1M$5.2B0.8%$143.18+118.86%
16 qtrssince 2018-Q4
Increased
46

Home Depot Inc.

18.4M$5.1B0.8%$187.29+32.81%
16 qtrssince 2018-Q4
Decreased
0

PFIZER INC

110.4M$4.8B0.7%$28.99+19.66%
16 qtrssince 2018-Q4
Increased
46

Chevron Corp.

33.1M$4.7B0.7%$87.80+40.47%
16 qtrssince 2018-Q4
Decreased
0

MasterCard Incorporated

16.1M$4.6B0.7%$251.57+10.34%
16 qtrssince 2018-Q4
Increased
46
$659.3B
AUM
5,029
Positions
Q3 2022
Filing
HI score · 3.0/5
Quarterly 13F Value Change
+11%Q2'21$725.8B+2%Q3'21$742.8B+12%Q4'21$830.3B-4%Q1'22$801.1B-15%Q2'22$682.6B-3%Q3'22$659.3B
Activity profile
$ moved · Q3'22
New1%Increased81%Decreased15%Exited3%
Composition
Equity vs derivatives
Equity100%Puts0%Calls0%
Holding period
Avg 2.7 years
<1Q3%1-4Q10%1-2Y19%2Y+68%

GEODE CAPITAL MANAGEMENT, LLC manages $659.3B across 5029 positions as of Q3 2022. Top holdings: AAPL (5.9%), MSFT (4.9%), AMZN (2.7%). Fund DNA: Balanced Allocator. HoldingsIntel Score: 3/5.0.

Q3 2022 Summary

Active quarter - 147 new positions, 133 exits, 3187 increased. Top move: TSLA (INCREASED, conviction 81). Portfolio: $659.3B across 5029 positions.

Top holdings by portfolio weight

Total AUM$659B
AAPL5.86%
MSFT4.92%
AMZN2.70%
TSLA1.91%
GOOGL1.67%
GOOG1.41%
UNH1.27%
BRK/B1.25%
JNJ1.18%
XOM0.99%
Other0.90%

Portfolio allocation by GICS sector

Sectors11
Technology22.83%
Healthcare14.44%
Financial Services13.09%
Consumer Cyclical11.09%
Industrials8.25%
Communication Services7.10%
Consumer Defensive6.61%
Energy4.33%
Real Estate3.71%
Utilities3.04%
Other5.50%

Behavioral investing profile

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Balanced Allocator- primarily Technology, Healthcare, Financial Services
Compare DNA across all funds
7-dimension, SEC 13F-derived research score
Solid(3.0 / 5.0)
Holdings P&L44
Conviction45
Concentration47
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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.

Similar Funds

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Accumulation Streaks

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

Security
7Q
WHWKWHWKWHITEHAWK THERAPEUTICS INC COM
Q4 2024 → Q2 2026+691,032 shares+$3.7M
7Q
AAONAAONAAON INC
Q4 2024 → Q2 2026+198,902 shares+$48.7M
7Q
AIRAIRAAR CORP COM
Q4 2024 → Q2 2026+342,723 shares+$110.8M
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Data sourced from SEC EDGAR 13F filings. Not financial advice. Full disclaimer

Verify source filings on SEC EDGAR

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