Instuitional Investor - Howard Capital Management Group, Llc

Fund Profile
Filing Period:
Fund Name: Howard Capital Management Group, Llc
Portfolio Value $1,439,351,089
Filing Period:
No. Security Ticker Shares Value % Port
1. NVDA 1,062,780 $167,908,556 11.67%
2. MSFT 191,968 $95,486,640 6.63%
3. SPY 150,553 $93,018,965 6.46%
4. AAPL 427,325 $87,674,318 6.09%
5. AMZN 351,583 $77,133,794 5.36%