0001214659-24-012656
Sumitomo Mitsui Trust Holdings, Inc.
Total Value: $135,477,739,352
Total Holdings: 1069
QuarterFilling ID
Q4 250002002654-26-000001
Q3 250002002654-25-000006
Q2 250002002654-25-000004
Q1 250002002654-25-000003
Q4 240002002654-25-000001
Q3 240002002654-24-000005
Q2 240002002654-24-000004
Q1 240002002654-24-000002
Q4 230002002654-24-000001
Q3 230002002654-23-000008
Q2 230002002654-23-000007
Q1 230002002654-23-000006
Q4 220002002654-23-000005
Q3 220002002654-23-000004
Q2 220002002654-23-000003
Q1 220002002654-23-000002
Q4 210002002654-23-000001
Compare Quarter:
NameTitleCUSIPValueSharesShare PriceInvestment% of Portfolio
MICROSOFT CORPCOM594918104$8,106,197,17118,136,698DFND
NVIDIA CORPCOM67066G104$7,913,435,37264,055,653DFND
APPLE INCCOM37833100$7,172,465,06434,054,055DFND
AMAZON.COM INCCOM23135106$4,621,230,15223,913,222DFND
META PLATFORMS INC-CLASS ACOM30303M102$2,885,384,3285,722,471DFND
ALPHABET INC-CL ACOM02079K305$2,491,136,95213,676,294DFND
ALPHABET INC-CL CCOM02079K107$2,408,650,53013,131,886DFND
BROADCOM INCCOM11135F101$1,811,508,2601,128,293DFND
TESLA INCCOM88160R101$1,777,715,9278,983,808DFND
ELI LILLY & COCOM532457108$1,758,250,6761,942,003DFND
JPMORGAN CHASE & COCOM46625H100$1,366,525,8006,756,283DFND
UNITEDHEALTH GROUP INCCOM91324P102$1,322,248,2662,596,411DFND
BERKSHIRE HATHAWAY INC-CL BCOM84670702$1,285,254,0903,159,425DFND
EXXON MOBIL CORPCOM30231G102$1,204,415,48610,462,261DFND
VISA INC-CLASS A SHARESCOM92826C839$1,020,654,2283,888,651DFND
PROCTER & GAMBLE CO/THECOM742718109$930,799,9045,643,948DFND
COSTCO WHOLESALE CORPCOM22160K105$878,624,4631,033,688DFND
HOME DEPOT INCCOM437076102$877,895,9952,550,244DFND
JOHNSON & JOHNSONCOM478160104$876,125,7195,994,292DFND
MASTERCARD INC – ACOM57636Q104$853,680,7751,935,082DFND
NETFLIX INCCOM64110L106$826,393,2601,224,504DFND
MERCK & CO. INC.COM58933Y105$803,903,2236,493,564DFND
ISHARES GOLD TRUSTCOM464285204$791,181,40918,010,048DFND
WALMART INCCOM931142103$757,792,85111,191,742DFND
ADVANCED MICRO DEVICESCOM7903107$756,505,7524,663,743DFND
ADOBE INCCOM00724F101$744,873,5871,340,810DFND
COCA-COLA CO/THECOM191216100$736,512,92711,571,295DFND
ABBVIE INCCOM00287Y109$699,866,9494,080,381DFND
COINBASE GLOBAL INC -CLASS ACOM19260Q107$695,515,0093,129,708DFND
CHEVRON CORPCOM166764100$675,956,0474,321,417DFND
SALESFORCE INCCOM79466L302$655,137,0782,548,180DFND
APPLIED MATERIALS INCCOM38222105$654,608,4132,773,882DFND
QUALCOMM INCCOM747525103$645,486,0123,240,717DFND
SPDR GOLD MINISHARES TRUSTCOM98149E303$636,042,00013,800,000DFND
BANK OF AMERICA CORPCOM60505104$627,877,34615,787,713DFND
INTUITIVE SURGICAL INCCOM46120E602$623,670,8031,401,980DFND
LINDE PLCCOMG54950103$618,887,0931,410,376DFND
PEPSICO INCCOM713448108$605,950,5113,673,986DFND
THERMO FISHER SCIENTIFIC INCCOM883556102$600,713,3931,086,281DFND
BLOCK INCCOM852234103$566,850,3978,789,741DFND
CISCO SYSTEMS INCCOM17275R102$540,820,29811,383,294DFND
ROBINHOOD MARKETS INC – ACOM770700102$540,709,72523,809,323DFND
MICRON TECHNOLOGY INCCOM595112103$523,593,7033,980,793DFND
INTUIT INCCOM461202103$521,543,454793,572DFND
ORACLE CORPCOM68389X105$513,837,1083,639,073DFND
MCDONALD’S CORPCOM580135101$507,809,7291,992,661DFND
WELLS FARGO & COCOM949746101$490,862,5678,265,071DFND
AMGEN INCCOM31162100$483,975,6771,548,970DFND
PROLOGIS INCCOM74340W103$483,969,6214,309,230DFND
DANAHER CORPCOM235851102$482,840,8721,932,523DFND