Instuitional Investor - Panagora Asset Management Inc

Fund Profile
Filing Period:
Fund Name: Panagora Asset Management Inc
Portfolio Value $21,636,409,666
Filing Period:
No. Security Ticker Shares Value % Port
1. NVDA 10,552,078 $1,417,038,555 6.54%
2. AAPL 5,652,033 $1,415,382,104 6.54%
3. MSFT 2,521,824 $1,062,948,816 4.91%
4. AMZN 4,019,158 $881,763,074 4.07%
5. META 1,110,853 $650,415,540 3%