HSBC HOLDINGS PLC

CIK
873630
City
LONDON
State / Country
X0

Top Portfolio Positions

2,136 positions · $181,251,566,896 total · as of Mar 31, 2026
Ticker Company Shares Value (USD) % of Portfolio
NVDA
Nvidia Corp
Technology
74,829,579 $13,050,278,571 7.20%
MSFT
Microsoft Corp
Technology
29,268,671 $10,834,383,933 5.98%
AAPL
Apple Inc.
Technology
38,798,036 $9,846,553,549 5.43%
GOOGL
Alphabet Inc.
Communication Services
23,451,796 $6,743,798,447 3.72%
META
Meta Platforms, Inc.
Communication Services
10,619,368 $6,075,659,002 3.35%
AMZN
Amazon Com Inc
Consumer Cyclical
27,150,507 $5,654,636,085 3.12%
AVGO
Broadcom Inc.
Technology
16,193,653 $5,012,097,529 2.77%
TSLA
Tesla, Inc.
Consumer Cyclical
10,772,433 $4,004,651,961 2.21%
TSM
Taiwan Semiconductor Manufacturing Co Ltd
Technology
9,657,907 $3,263,889,665 1.80%
UNH
Unitedhealth Group Inc
Healthcare
9,607,849 $2,599,787,854 1.43%

Portfolio Trend

51 quarters · across all stocks

Holdings in FCN

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Shares Held

Position Value (USD)

21 of 21 shown
Report Date Value (USD) Shares
2026-03-31 $1,280,344 7,243
2025-12-31 $609,008 3,565
2025-09-30 $263,812 1,632
2025-06-30 $244,349 1,513
2025-03-31 $2,084,143 12,702
2024-12-31 $1,670,284 8,739
2024-09-30 $1,270,467 5,583
2024-06-30 $267,472 1,241
2024-03-31 $2,539,250 12,075
2023-12-31 $1,422,129 7,141
2023-09-30 $223,190 1,251
2023-06-30 $2,867,454 15,076
2023-03-31 $4,441,755 22,507
2022-12-31 $3,074,208 19,359
2022-09-30 $386,269 2,331
2022-03-31 $1,287,630 8,190
2021-12-31 $668,911 4,360
2021-09-30 $1,253,248 9,304
2021-06-30 $1,490,141 10,908
2021-03-31 $279,099 1,992
2020-03-31 $227,563 1,900