Ensign Peak Advisor's stock holdings
Source: Ensign Peak's filing with the Securities and Exchange Commission
StockValue
 Apple Inc$1,574,498,000Microsoft Corp$1,496,120,000Google Inc$930,020,000 Amazon.com Inc$855,534,000Johnson & Johnson$645,924,000Intel Corp$604,282,000Facebook Inc$537,903,000Visa Inc$532,653,000JPMorgan Chase & Co$486,018,000UnitedHealth Group Inc$471,534,000Merck & Co Inc$418,963,000Berkshire Hathaway Inc$418,386,000Walt Disney Co/The$384,017,000Chevron Corp$381,260,000Home Depot Inc/The$369,978,000Stryker Corp$348,720,000Thermo Fisher Scientific Inc$343,760,000 Abbott Laboratories$335,744,000Danaher Corp$325,424,000O'Reilly Automotive Inc$324,716,000Mastercard Inc$321,394,000Bank of America Corp$307,855,000Enterprise Products Partners LP$305,734,000Union Pacific Corp$303,780,000 Adobe Systems Inc$295,533,000iShares Core MSCI Emerging Markets ETF$291,015,000Exxon Mobil Corp$290,841,000TJX Cos Inc$290,390,000Fastenal Co$287,527,000 Air Products & Chemicals Inc$278,951,000iShares Core S&P 500 ETF$276,936,000First Republic Bank/CA$276,216,000Wells Fargo & Co$275,660,000
The Church of Jesus Christ of Latter-day Saints' Ensign Peak  Advisors manages nearly $38 billion in stock. Here are those holdings according to a recent SEC filing.
 
CME Group Inc/IL$269,317,000NextEra Energy Inc$269,317,000Halfmoon Parent Inc$268,635,000 Applied Materials Inc$264,078,000Wal-Mart Stores Inc$260,994,000 American Tower Corp$258,537,000Citigroup Inc$244,567,000IntercontinentalExchange Inc$239,340,000Marriott International Inc/DE$239,201,000Boeing Co/The$231,123,000NIKE Inc$227,488,000US Bancorp/MN$213,961,000Exact Sciences Corp$207,864,000Fortive Corp$207,779,000Knight-Swift Transportation Holdings Inc$205,436,000Prologis Inc$200,143,000Illinois Tool Works Inc$190,926,000Southern Co.$189,891,000LKQ Corp$184,203,000Shopify Inc$182,043,000Vertex Pharmaceuticals Inc$177,374,000NVIDIA Corp$175,687,000Vanguard FTSE Emerging Markets ETF$175,020,000Salesforce.com Inc$168,393,000Texas Instruments Inc$165,509,000Intuitive Surgical Inc$160,317,000 Aon PLC$158,972,000Costco Wholesale Corp$147,773,000iShares Russell 2000 ETF$145,790,000Delta Air Lines Inc$144,628,000Procter & Gamble Co/The$144,424,000Dominion Resources Inc/VA$142,691,000ConocoPhillips$142,413,000 AT&T Inc$136,523,000LyondellBasell Industries NV$134,902,000Quintiles Transnational Holdings Inc$134,202,000Verizon Communications Inc$132,076,000Cisco Systems Inc$130,918,000CoStar Group Inc$130,097,000Charter Communications Inc$127,824,000Teladoc Inc$126,526,000
 
Royal Bank of Canada$123,585,000Google Inc$119,453,000Cognizant Technology Solutions Corp$113,676,000Comcast Corp$107,928,000Splunk Inc$102,774,000Wabtec Corp/DE$102,661,000ONEOK Inc$99,618,000Northern Trust Corp$95,217,000Zions Bancorporation$91,814,000Duke Energy Corp$90,864,000Kinder Morgan Inc/DE$88,258,000McDonald's Corp$88,145,000Xilinx Inc$84,405,000 AO Smith Corp$83,450,000Biogen Idec Inc$81,986,000Motorola Solutions Inc$81,668,000Pfizer Inc$80,705,000Ross Stores Inc$77,764,000SPDR S&P 500 ETF Trust$77,163,000Pluralsight Inc$76,776,000Bristol-Myers Squibb Co$73,796,000Magellan Midstream Partners LP$72,646,000 Amgen Inc$71,837,000Snap-on Inc$71,817,000Sherwin-Williams Co/The$70,780,000 Avago Technologies Ltd$70,198,000Dollar General Corp$69,159,000Target Corp$68,818,000Toronto-Dominion Bank/The$68,599,000Sysco Corp$67,571,000Ritchie Bros Auctioneers Inc$66,494,000TC Pipelines LP$64,504,000 American Electric Power Co Inc$63,848,000Cummins Inc$63,306,000FMC Corp$63,175,000 AutoZone Inc$60,301,000Honeywell International Inc$60,166,000Clorox Co/The$59,776,000Medtronic Inc$58,471,000 Accenture PLC$57,407,000Gilead Sciences Inc$56,885,000
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