Instuitional Investor - Panagora Asset Management Inc

Fund Profile
Filing Period:
Fund Name: Panagora Asset Management Inc
Portfolio Value $17,878,010,228
Fund Holdings Sector Distribution
Filing Period:
No. Security Ticker Shares Value % Port
1. AAPL 6,163,375 $1,186,634,589 6.63%
2. MSFT 2,574,426 $968,087,153 5.41%
3. AMZN 3,690,465 $560,729,252 3.13%
4. NVDA 950,810 $470,860,128 2.63%
5. META 1,041,056 $368,492,182 2.06%