Chevy Chase Trust Holdings, LLC

$34.7B reported 13(f) long value · latest quarter 2026-03-31 · CIK 1462020 · EDGAR ↗
sum of disclosed values for 2026-03-31; 0 positions carry a NULL value and are excluded from the sum, surfaced here rather than folded away
$34.7B
ALL retained default holdings for this (filer, period), including NULL-value ones
1,154
positions with no comparable holding in the prior quarter (kind new), 2026-03-31
21
positions absent from this quarter's filing after being held last quarter (kind exit), 2026-03-31 — inferred from absence, not a sale record
17
A quarter-end snapshot. Filed up to 45 days later, so this page is not current holdings and never a complete portfolio. what a 13F is — and is not ↓ methodology §13F ↗
FILING WINDOW OPEN
Quarter 2026-09-30: the 13F window is open until 2026-11-16. Rankings and QoQ moves that touch this quarter are provisional by construction — filers who have not yet reported are not zeros.

Position changes — into 2026-03-31

by shares · Δ value · filing link · how changes are classified §
Period
Position changes into quarter 2026-03-31
position matched across quarters by exact reported CUSIP over a registry gap — producer-reconciled identity, never a name match identity_reconciled_by_cusipthe reported share count is unchanged across the pair; this build's data classified the change from its reported value; builds from 2026-09-10 on read it as NO CHANGE classified_by_value · EXIT = absent this quarter: disposed, delisted, under confidential treatment, or reported instead by an affiliated manager — the filing does not say which · change not classifiable: value undisclosed on one side of the quarter pair, or neither shares nor value can classify it · NO CHANGE = the share count is identical in both quarters; the value moved only with price, so the row is mark-to-market and never an ADD or a TRIM (NEW / ADD / TRIM / EXIT / NO CHANGE) · NO PRIOR = this filer has no comparable holdings list for the previous quarter on record — a first filing under this registration, or a quarter reported inside an affiliated manager's filing — so the position is not called a new stakederived by Public Filings from the published aggregate; NULL means the source did not disclose a usable value — never zeroreported unit changed across the pair (SH↔PRN); the share delta is withheld rather than fabricated shares_unit_mismatchPrev valueCurr valuePrev sharesCurr shares
position key pos:15642 · issuer key iss:1334 COMTRIM−$263M−441,930$2.9B$2.6B15,331,91714,889,987
position key pos:13215 · issuer key iss:144 COMTRIM−$235M−266,676$2.5B$2.3B9,248,1018,981,425
position key pos:11825 · issuer key iss:1225 COMTRIM−$562M−134,119$2.2B$1.6B4,520,3344,386,215
position key pos:14175 · issuer key iss:95 COMTRIM−$165M−132,671$1.4B$1.2B6,092,9685,960,297
position key pos:15142 · issuer key iss:89 CAP STK CL ATRIM−$135M−140,400$1.2B$1.0B3,734,5713,594,171
position key pos:17821 · issuer key iss:89 CAP STK CL CTRIM−$114M−88,929$1.0B$919M3,292,0523,203,123
position key pos:12827 · issuer key iss:323 COMTRIM−$107M−22,458$943M$837M2,725,1422,702,684
position key pos:11205 · issuer key iss:255 CL B NEWTRIM−$49.6M−36,239$690M$641M1,373,0061,336,767
position key pos:11390 · issuer key iss:720 CL ATRIM−$113M−26,479$733M$620M1,109,8331,083,354
position key pos:18039 · issuer key iss:1025 COMTRIM−$77.6M−72,170$647M$570M2,008,8651,936,695
position key pos:10357 · issuer key iss:1786 COMTRIM−$126M−39,069$642M$516M1,427,6491,388,580
position key pos:12848 · issuer key iss:1921 COM CL ATRIM−$78.8M−33,960$496M$417M1,413,9541,379,994
position key pos:12030 · issuer key iss:525 COMADD+$53.6M+864$339M$393M393,313394,177
position key pos:14552 · issuer key iss:711 COMTRIM+$96.0M−91,856$272M$368M2,261,9582,170,102
position key pos:15863 · issuer key iss:1123 COMTRIM−$75.2M−12,596$441M$366M410,481397,885
position key pos:11938 · issuer key iss:834 COMTRIM−$38.6M−28,201$391M$353M445,318417,117
position key pos:13599 · issuer key iss:1035 COMTRIM+$39.0M−48,221$280M$319M1,353,9311,305,710
position key pos:13490 · issuer key iss:1939 COMTRIM+$21.1M−62,657$250M$272M2,247,3162,184,659
position key pos:17899 · issuer key iss:1745 COMTRIM+$7.6M−13,441$246M$253M1,600,4751,587,034
position key pos:14206 · issuer key iss:1193 CL ATRIM−$38.0M−13,518$250M$212M438,416424,898
position key pos:15433 · issuer key iss:1290 COMTRIM−$1.4M−68,130$204M$203M2,175,7252,107,595
position key pos:15499 · issuer key iss:23 COMTRIM−$15.8M−25,492$212M$197M929,889904,397
position key pos:11717 · issuer key iss:440 COMTRIM+$45.7M−36,942$149M$195M978,535941,593
position key pos:10935 · issuer key iss:1902 COMADD+$44.0M+183,032$150M$194M3,674,4463,857,478
position key pos:10718 · issuer key iss:1311 COMTRIM+$24.8M−12,262$165M$190M2,056,7072,044,445
position key pos:15221 · issuer key iss:1228 COMTRIM+$25.1M−15,045$164M$189M575,056560,011
position key pos:10586 · issuer key iss:1908 COMTRIM−$3.1M−748$185M$182M408,363407,615
position key pos:14992 · issuer key iss:1485 COMTRIM−$4.4M−40,348$176M$172M1,231,3471,190,999
position key pos:13432 · issuer key iss:411 COMTRIM+$26.2M−9,452$139M$165M242,525233,073
position key pos:10715 · issuer key iss:916 COMTRIM−$12.4M−13,845$177M$165M515,189501,344
position key pos:12445 · issuer key iss:1405 CL ATRIM−$41.3M−33,184$206M$165M1,159,6571,126,473
position key pos:14060 · issuer key iss:47 COMTRIM−$13.4M−22,124$177M$164M826,672804,548
position key pos:13234 · issuer key iss:230 COMTRIM−$28.8M−144,481$191M$162M3,475,0163,330,535
position key pos:11944 · issuer key iss:454 COMTRIM−$3.0M−53,474$164M$161M2,125,3752,071,901
position key pos:14360 · issuer key iss:1327 SPONSORED ADRTRIM+$14.0M−11,578$146M$160M1,061,3721,049,794
position key pos:15140 · issuer key iss:1537 COMADD+$4.1M+5,086$155M$159M200,747205,833
position key pos:12969 · issuer key iss:226 ADRTRIM−$7.9M−145,395$164M$156M13,961,03613,815,641
position key pos:14503 · issuer key iss:1578 SPON ADSTRIM+$31.6M−13,767$124M$155M1,683,5071,669,740
position key pos:11625 · issuer key iss:2284 N Y REGISTRY SHSTRIM+$26.9M−2,349$128M$155M119,465117,116
position key pos:11461 · issuer key iss:102 COMTRIM+$17.2M−11,267$137M$154M1,183,7961,172,529
position key pos:16115 · issuer key iss:1869 COMTRIM−$42.9M−28,314$196M$153M592,565564,251
position key pos:16805 · issuer key iss:997 COM NEWTRIM−$44.3M−16,654$197M$152M347,405330,751
position key pos:15125 · issuer key iss:1798 COMADD−$21.7M+9,528$174M$152M300,473310,001
position key pos:10493 · issuer key iss:471 COMTRIM+$8.1M−60,410$144M$152M2,060,5492,000,139
position key pos:17751 · issuer key iss:1214 COMTRIM+$14.8M−38,375$136M$151M1,291,5031,253,128
position key pos:12492 · issuer key iss:810 COM NEWTRIM−$18.3M−18,360$167M$148M541,501523,141
position key pos:14157 · issuer key iss:149 COMTRIM+$28.0M−27,085$113M$141M439,657412,572
position key pos:11871 · issuer key iss:1011 ISHARES NEWTRIM+$8.0M−36,664$131M$139M1,611,8221,575,158
position key pos:12367 · issuer key iss:1627 COM STKADD+$46.1M+293,564$91.5M$138M2,384,1432,677,707
position key pos:11814 · issuer key iss:371 COMTRIM−$18.2M−4,448$153M$135M489,525485,077
position key pos:10455 · issuer key iss:1091 COM NEWTRIM+$22.8M−21,782$111M$133M646,259624,477
position key pos:10483 · issuer key iss:777 COMADD+$30.3M+44,620$101M$131M485,486530,106
position key pos:15626 · issuer key iss:1529 COMTRIM+$3.2M−17,568$127M$131M694,864677,296
position key pos:15198 · issuer key iss:1445 COMTRIM+$220K−22,453$128M$128M795,994773,541
position key pos:16072 · issuer key iss:1370 COMTRIM−$44.8M−18,794$171M$126M878,476859,682
position key pos:13833 · issuer key iss:1435 COMTRIM+$7.2M−16,086$119M$126M826,284810,198
position key pos:11688 · issuer key iss:1955 COMTRIM−$26.2M−56,418$149M$123M1,599,1401,542,722
position key pos:13186 · issuer key iss:1273 COMADD−$15.9M+5,015$133M$117M582,015587,030
position key pos:17386 · issuer key iss:806 COMTRIM+$26.4M−4,787$91.0M$117M139,265134,478
position key pos:10136 · issuer key iss:990 COMTRIM−$30.0M−14,199$146M$116M493,298479,099
position key pos:14712 · issuer key iss:537 CL AADD−$21.6M+3,601$138M$116M293,550297,151
position key pos:12681 · issuer key iss:2154 SHSTRIM+$13.3M−6,423$101M$115M237,416230,993
position key pos:16096 · issuer key iss:1206 COMTRIM−$1.4M−10,825$115M$113M375,159364,334
position key pos:12449 · issuer key iss:621 COMTRIM+$29.9M−10,730$83.4M$113M793,798783,068
position key pos:16716 · issuer key iss:633 COMADD+$7.6M+23,341$106M$113M401,996425,337
position key pos:12280 · issuer key iss:218 COMADD+$19.2M+13,444$89.7M$109M518,702532,146
position key pos:15560 · issuer key iss:1973 COMADD+$30.8M+203,076$75.8M$107M1,261,6311,464,707
position key pos:11666 · issuer key iss:1238 SPONSORED ADSADD+$9.6M+172,442$95.4M$105M6,016,8876,189,329
position key pos:17173 · issuer key iss:1138 COMTRIM+$19.2M−3,494$85.5M$105M176,689173,195
position key pos:18143 · issuer key iss:982 COMADD+$18.3M+40,103$84.5M$103M2,289,2962,329,399
position key pos:16441 · issuer key iss:16 COMTRIM+$10.8M−147,365$90.1M$101M3,626,0893,478,724
position key pos:17095 · issuer key iss:588 COMTRIM−$30.2M−105,460$131M$101M1,151,6841,046,224
position key pos:10307 · issuer key iss:1012 CORE S&P500 ETFADD+$21.2M+38,046$78.7M$99.9M114,961153,007
position key pos:11621 · issuer key iss:1253 COM NEWTRIM−$11.3M−19,790$110M$98.5M618,388598,598
position key pos:15168 · issuer key iss:456 COM NEWTRIM−$8.2M−46,276$107M$98.5M914,560868,284
position key pos:11849 · issuer key iss:104 COMTRIM−$34.6M−35,696$130M$95.8M352,564316,868
position key pos:16984 · issuer key iss:187 COMADD+$11.1M+13,587$84.7M$95.8M505,126518,713
position key pos:11671 · issuer key iss:122 COMTRIM+$4.1M−7,790$91.3M$95.4M279,019271,229
position key pos:18187 · issuer key iss:1040 COM NEWTRIM+$14.2M−2,048$81.2M$95.4M66,83864,790
position key pos:12366 · issuer key iss:22 COMTRIM−$23.6M−27,998$115M$91.2M916,706888,708
position key pos:17629 · issuer key iss:476 COMADD+$37.4M+372,798$52.9M$90.4M1,471,6311,844,429
position key pos:15035 · issuer key iss:505 COMTRIM+$23.5M−27,040$66.0M$89.5M705,312678,272
position key pos:16841 · issuer key iss:1791 COMTRIM+$7.0M−13,570$80.6M$87.6M464,788451,218
position key pos:12725 · issuer key iss:1615 COMTRIM−$41.8M−21,075$128M$86.4M483,743462,668
position key pos:10600 · issuer key iss:821 COMTRIM+$8.1M−17,810$77.9M$86.0M634,824617,014
position key pos:12498 · issuer key iss:1272 COMTRIM−$13.6M−13,417$98.6M$85.0M1,015,0911,001,674
position key pos:10790 · issuer key iss:1444 COMTRIM+$7.0M−81,713$72.7M$79.7M2,921,6242,839,911
position key pos:16131 · issuer key iss:1632 COMTRIM−$7.8M−28,556$86.3M$78.5M863,938835,382
position key pos:15235 · issuer key iss:125 CL ATRIM−$6.8M−10,500$84.0M$77.2M621,888611,388
position key pos:17214 · issuer key iss:298 COMTRIM−$9.2M−10,092$86.4M$77.2M397,945387,853
position key pos:14307 · issuer key iss:127 COMTRIM+$9.0M−8,665$68.2M$77.2M251,294242,629
position key pos:10554 · issuer key iss:1747 COMTRIM−$3.7M−30,803$80.2M$76.5M395,200364,397
position key pos:14685 · issuer key iss:960 COMADD−$43.9M+46,480$119M$74.8M681,915728,395
position key pos:11610 · issuer key iss:287 COMTRIM−$9.5M−1,144$83.0M$73.5M77,57376,429
position key pos:12696 · issuer key iss:1845 COMTRIM−$13.2M−39,455$86.2M$73.1M1,055,0371,015,582
position key pos:17429 · issuer key iss:2052 SHS CLASS ATRIM−$34.4M−33,280$107M$72.1M397,028363,748
position key pos:14191 · issuer key iss:1855 COMTRIM+$1.3M−9,092$70.8M$72.1M306,128297,036
position key pos:13471 · issuer key iss:562 COMTRIM+$10.9M−3,268$60.8M$71.7M130,545127,277
position key pos:13876 · issuer key iss:917 COMTRIM+$8.2M−8,206$63.4M$71.6M324,818316,612
position key pos:17839 · issuer key iss:2093 SHSTRIM+$5.8M−5,534$63.0M$68.7M197,650192,116

Flags: no row carries a flag.

1–20 of the 100 changes on this page

1–100 of 624 changes
Mark-to-market only (no share change) · 35

Positions whose share count is identical in both quarters; the value changed with price, not with a decision.

Positions held with no share change into quarter 2026-03-31
position matched across quarters by exact reported CUSIP over a registry gap — producer-reconciled identity, never a name match identity_reconciled_by_cusipthe reported share count is unchanged across the pair; this build's data classified the change from its reported value; builds from 2026-09-10 on read it as NO CHANGE classified_by_value · EXIT = absent this quarter: disposed, delisted, under confidential treatment, or reported instead by an affiliated manager — the filing does not say which · change not classifiable: value undisclosed on one side of the quarter pair, or neither shares nor value can classify it · NO CHANGE = the share count is identical in both quarters; the value moved only with price, so the row is mark-to-market and never an ADD or a TRIM (NEW / ADD / TRIM / EXIT / NO CHANGE) · NO PRIOR = this filer has no comparable holdings list for the previous quarter on record — a first filing under this registration, or a quarter reported inside an affiliated manager's filing — so the position is not called a new stakederived by Public Filings from the published aggregate; NULL means the source did not disclose a usable value — never zeroreported unit changed across the pair (SH↔PRN); the share delta is withheld rather than fabricated shares_unit_mismatchPrev valueCurr valuePrev sharesCurr shares
position key pos:12676 · issuer key iss:445 COMNO CHANGE+$1.1M0$12.5M$13.6M131,500131,500
position key pos:10899 · issuer key iss:1013 MSCI ACWI ETFNO CHANGE−$42.9K0$1.9M$1.9M13,75613,756
position key sid:sec:prov:7aa9129848a3e7fa8a19bd4ed3e5f99b · issuer key cusip6:11135E COMNO CHANGE+$89.3K0$1.7M$1.8M99,16899,168
position key sid:sec:prov:d9a330858b6d0d176c0ea34dc9e1b07d · issuer key cusip6:72815G CLASS A COMNO CHANGE−$442K0$1.6M$1.1M2,423,1982,423,198
position key pos:17409 · issuer key cusip6:921943 VAN FTSE DEV MKTNO CHANGE+$24.5K0$952K$977K15,24015,240
position key pos:15834 · issuer key iss:746 COMNO CHANGE−$114K0$1.1M$959K6,9006,900
position key pos:12329 · issuer key iss:1012 US CONSUM DISCRENO CHANGE−$49.2K0$817K$768K7,9247,924
position key sid:sec:prov:4fb0acc16da1db87c54322c1ea532a9d · issuer key cusip6:15746L CL ANO CHANGE+$4.8K0$638K$643K18,41918,419
position key pos:14254 · issuer key iss:484 SUB VTG SHSNO CHANGE−$237K0$867K$631K5,9005,900
position key pos:16309 · issuer key cusip6:389637 SHS REP COM UTNO CHANGE−$159K0$696K$537K10,18210,182
position key pos:16990 · issuer key iss:1012 SP SMCP600VL ETFNO CHANGE+$20.3K0$489K$509K4,3004,300
position key pos:12325 · issuer key iss:1012 RUS MDCP VAL ETFNO CHANGE+$15.8K0$476K$492K3,3733,373
position key sid:sec:prov:162aed932748a7744c26fc1170a37120 · issuer key cusip6:890516 COMNO CHANGE+$65.1K0$391K$456K10,68410,684
position key pos:10525 · issuer key iss:878 COMNO CHANGE−$23.0K0$447K$424K2,4462,446
position key pos:16049 · issuer key iss:1975 COM CL ANO CHANGE−$35.7K0$457K$421K24,26124,261
position key pos:14252 · issuer key iss:1602 STATE STREET SPDNO CHANGE+$8.6K0$380K$389K6,5666,566
position key pos:11901 · issuer key iss:1012 SELECT DIVID ETFNO CHANGE+$25.6K0$352K$378K2,4952,495
position key sid:sec:prov:519902191eab5520c75b9ee010e71ebf · issuer key cusip6:92204A CONSUM DIS ETFNO CHANGE−$33.0K0$373K$340K946946
position key sid:sec:prov:b5a8fc97dbcb7ae527c97957196099cf · issuer key cusip6:01881G UNIT LTD PARTNNO CHANGE−$9.4K0$346K$337K9,0009,000
position key sid:sec:prov:a803455a76fd70af007650013f4d14ac · issuer key cusip6:36120Q COMNO CHANGE+$27.6K0$300K$328K21,56221,562
position key sid:sec:prov:be75af0056554524224123e99ef018fb · issuer key cusip6:025072 US EQT ETFNO CHANGE−$1.7K0$325K$324K2,9112,911
position key pos:13340 · issuer key iss:666 COMNO CHANGE+$47.7K0$264K$312K8,2508,250
position key pos:17268 · issuer key iss:1012 GLOB HLTHCRE ETFNO CHANGE−$12.4K0$312K$299K3,2003,200
position key pos:12767 · issuer key iss:220 COMNO CHANGE−$42.6K0$336K$294K1,9291,929
position key sid:sec:prov:8cc6d731232d1ac429fb431a7ea6a184 · issuer key cusip6:92189F GOLD MINERS ETFNO CHANGE+$18.3K0$262K$280K3,0503,050
position key pos:14990 · issuer key iss:1602 STATE STREET SPDNO CHANGE+$11.5K0$236K$247K1,6951,695
position key pos:11463 · issuer key iss:1012 CORE S&P TTL STKNO CHANGE−$10.2K0$242K$231K1,6251,625
position key sid:sec:prov:54feb8f2a0a7a78d5aa43db032dd571f · issuer key cusip6:892331 ADSNO CHANGE−$8.6K0$230K$222K1,0761,076
position key pos:16724 · issuer key iss:1633 FUNDAMENTAL INTLNO CHANGE+$16.8K0$204K$221K4,5104,510
position key pos:11834 · issuer key iss:1012 CORE S&P US GWTNO CHANGE−$17.3K0$227K$209K1,3501,350
position key sid:sec:prov:303540766d2ecf333f46440f72a108ab · issuer key cusip6:92206C VNG RUS1000IDXNO CHANGE−$9.8K0$218K$208K705705
position key sid:sec:prov:de090d90e8b49a60e21a5951eaf38bce · issuer key cusip6:656553 COMNO CHANGE+$75.4K0$118K$193K15,83215,832
position key sid:sec:prov:767e3ad44bc77027df70db2072dd81b4 · issuer key cusip6:138103 COMNO CHANGE+$2.0K0$114K$116K10,75010,750
position key sid:sec:prov:988d602b07d854618f0ca4508c1440ba · issuer key cusip6:38068T COMNO CHANGE+$12.9K0$28.7K$41.6K34,64234,642
position key sid:sec:prov:82e63d4ea25eec81be9e092c63a97283 · issuer key cusip6:142038 COMNO CHANGE+$3.1K0$15.9K$19.0K10,00010,000

Flags: no row carries a flag.

Newest filing in this build: 2026-07-31. Per-row filing dates are on each receipt.
Truncated by Public Filings. Changes compare every position with a security identifier, new and exited included; holdings without one are counted, not compared. methodology §13F ↗

Reported positions — 2026-03-31

1–100 of 597 issuers · $34.7B disclosed value over 1,154 rows · 0 undisclosed-value rows
View
This build carries one quarter for this manager: 2026-03-31. Notable managers carry four published quarters, others two.
Positions Chevy Chase Trust Holdings, LLC reported for the quarter ended 2026-03-31, as that filer reported them
This list carries reported issuer names and security identities, without a dated ticker mapping. Symbols are not inferred from names.a position composed from a base filing plus NEW-HOLDINGS amendments keeps every source row here; the composition's latest filed date is the one shown served from this build's published holdings (derived from the filer's own reported rows); every row resolves to its filingShare of total reported value, calculated only when the full position list has disclosed values. This is 13F long value, not total assets.value undisclosed on the filing: retained and counted, excluded from sums, never shown as $0SharesWt
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)NVIDIA CORPORATION
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for NVIDIA CORPORATION, as it reported them
NVIDIA CORPORATION · COM CUSIP — $2.5B14,507,559
NVIDIA CORPORATION · COM CUSIP — $66.7M382,428
$2.6B14,889,9877.5%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)APPLE INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for APPLE INC, as it reported them
APPLE INC · COM CUSIP — $2.2B8,711,980
APPLE INC · COM CUSIP — $68.4M269,445
$2.3B8,981,4256.6%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred) verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)ALPHABET INC
2 positions · 4 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for ALPHABET INC, as it reported them
ALPHABET INC · CAP STK CL A CUSIP — $1.0B3,502,546
ALPHABET INC · CAP STK CL C CUSIP — $887M3,093,697
ALPHABET INC · CAP STK CL C CUSIP — $31.4M109,426
ALPHABET INC · CAP STK CL A CUSIP — $26.3M91,625
$2.0B6,797,2945.6%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)MICROSOFT CORP
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for MICROSOFT CORP, as it reported them
MICROSOFT CORP · COM CUSIP — $1.6B4,247,249
MICROSOFT CORP · COM CUSIP — $51.4M138,966
$1.6B4,386,2154.7%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)AMAZON COM INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for AMAZON COM INC, as it reported them
AMAZON COM INC · COM CUSIP — $1.2B5,806,559
AMAZON COM INC · COM CUSIP — $32.0M153,738
$1.2B5,960,2973.6%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)BROADCOM INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for BROADCOM INC, as it reported them
BROADCOM INC · COM CUSIP — $813M2,628,067
BROADCOM INC · COM CUSIP — $23.1M74,617
$837M2,702,6842.4%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred) verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)BERKSHIRE HATHAWAY INC DEL
2 positions · 3 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for BERKSHIRE HATHAWAY INC DEL, as it reported them
BERKSHIRE HATHAWAY INC DEL · CL B NEW CUSIP — $620M1,294,777
BERKSHIRE HATHAWAY INC DEL · CL B NEW CUSIP — $20.1M41,990
BERKSHIRE HATHAWAY INC DEL · CL A CUSIP — $2.2M3
$643M1,336,7701.9%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)META PLATFORMS INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for META PLATFORMS INC, as it reported them
META PLATFORMS INC · CL A CUSIP — $600M1,048,933
META PLATFORMS INC · CL A CUSIP — $19.7M34,421
$620M1,083,3541.8%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)JPMORGAN CHASE & CO
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for JPMORGAN CHASE & CO, as it reported them
JPMORGAN CHASE & CO · COM CUSIP — $557M1,894,263
JPMORGAN CHASE & CO · COM CUSIP — $12.5M42,432
$570M1,936,6951.6%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)TESLA INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for TESLA INC, as it reported them
TESLA INC · COM CUSIP — $500M1,344,319
TESLA INC · COM CUSIP — $16.5M44,261
$516M1,388,5801.5%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)VISA INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for VISA INC, as it reported them
VISA INC · COM CL A CUSIP — $409M1,353,537
VISA INC · COM CL A CUSIP — $8.0M26,457
$417M1,379,9941.2%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)COSTCO WHOLESALE CORPORATION
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for COSTCO WHOLESALE CORPORATION, as it reported them
COSTCO WHOLESALE CORPORATION · COM CUSIP — $386M387,192
COSTCO WHOLESALE CORPORATION · COM CUSIP — $7.0M6,985
$393M394,1771.1%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)EXXON MOBIL CORP
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for EXXON MOBIL CORP, as it reported them
EXXON MOBIL CORP · COM CUSIP — $348M2,048,733
EXXON MOBIL CORP · COM CUSIP — $20.6M121,369
$368M2,170,1021.1%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)ELI LILLY & CO
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for ELI LILLY & CO, as it reported them
ELI LILLY & CO · COM CUSIP — $354M385,414
ELI LILLY & CO · COM CUSIP — $11.5M12,471
$366M397,8851.1%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)GOLDMAN SACHS GROUP INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for GOLDMAN SACHS GROUP INC, as it reported them
GOLDMAN SACHS GROUP INC · COM CUSIP — $343M404,854
GOLDMAN SACHS GROUP INC · COM CUSIP — $10.4M12,263
$353M417,1171.0%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)JOHNSON & JOHNSON
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for JOHNSON & JOHNSON, as it reported them
JOHNSON & JOHNSON · COM CUSIP — $310M1,267,783
JOHNSON & JOHNSON · COM CUSIP — $9.3M37,927
$319M1,305,7100.9%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)WALMART INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for WALMART INC, as it reported them
WALMART INC · COM CUSIP — $263M2,115,670
WALMART INC · COM CUSIP — $8.6M68,989
$272M2,184,6590.8%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)TJX COS INC NEW
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for TJX COS INC NEW, as it reported them
TJX COS INC NEW · COM CUSIP — $251M1,569,558
TJX COS INC NEW · COM CUSIP — $2.8M17,476
$253M1,587,0340.7%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)MASTERCARD INCORPORATED
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for MASTERCARD INCORPORATED, as it reported them
MASTERCARD INCORPORATED · CL A CUSIP — $206M412,082
MASTERCARD INCORPORATED · CL A CUSIP — $6.4M12,816
$212M424,8980.6%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)NETFLIX INC.
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for NETFLIX INC., as it reported them
NETFLIX INC. · COM CUSIP — $196M2,041,147
NETFLIX INC. · COM CUSIP — $6.4M66,448
$203M2,107,5950.6%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)ABBVIE INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for ABBVIE INC, as it reported them
ABBVIE INC · COM CUSIP — $191M876,583
ABBVIE INC · COM CUSIP — $6.0M27,814
$197M904,3970.6%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)CHEVRON CORPORATION
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for CHEVRON CORPORATION, as it reported them
CHEVRON CORPORATION · COM CUSIP — $189M912,093
CHEVRON CORPORATION · COM CUSIP — $6.1M29,500
$195M941,5930.6%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)VERIZON COMMUNICATIONS INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for VERIZON COMMUNICATIONS INC, as it reported them
VERIZON COMMUNICATIONS INC · COM CUSIP — $185M3,682,726
VERIZON COMMUNICATIONS INC · COM CUSIP — $8.8M174,752
$194M3,857,4780.6%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)NEXTERA ENERGY INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for NEXTERA ENERGY INC, as it reported them
NEXTERA ENERGY INC · COM CUSIP — $187M2,011,669
NEXTERA ENERGY INC · COM CUSIP — $3.0M32,776
$190M2,044,4450.5%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)MICRON TECHNOLOGY INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for MICRON TECHNOLOGY INC, as it reported them
MICRON TECHNOLOGY INC · COM CUSIP — $183M542,298
MICRON TECHNOLOGY INC · COM CUSIP — $6.0M17,713
$189M560,0110.5%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)VERTEX PHARMACEUTICALS INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for VERTEX PHARMACEUTICALS INC, as it reported them
VERTEX PHARMACEUTICALS INC · COM CUSIP — $180M403,618
VERTEX PHARMACEUTICALS INC · COM CUSIP — $1.8M3,997
$182M407,6150.5%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)PROCTER & GAMBLE CO
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for PROCTER & GAMBLE CO, as it reported them
PROCTER & GAMBLE CO · COM CUSIP — $167M1,154,425
PROCTER & GAMBLE CO · COM CUSIP — $5.3M36,574
$172M1,190,9990.5%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)CATERPILLAR INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for CATERPILLAR INC, as it reported them
CATERPILLAR INC · COM CUSIP — $160M225,751
CATERPILLAR INC · COM CUSIP — $5.2M7,322
$165M233,0730.5%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)HOME DEPOT INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for HOME DEPOT INC, as it reported them
HOME DEPOT INC · COM CUSIP — $160M485,677
HOME DEPOT INC · COM CUSIP — $5.2M15,667
$165M501,3440.5%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)PALANTIR TECHNOLOGIES INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for PALANTIR TECHNOLOGIES INC, as it reported them
PALANTIR TECHNOLOGIES INC · CL A CUSIP — $160M1,090,522
PALANTIR TECHNOLOGIES INC · CL A CUSIP — $5.3M35,951
$165M1,126,4730.5%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)ADVANCED MICRO DEVICES INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for ADVANCED MICRO DEVICES INC, as it reported them
ADVANCED MICRO DEVICES INC · COM CUSIP — $158M778,890
ADVANCED MICRO DEVICES INC · COM CUSIP — $5.2M25,658
$164M804,5480.5%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)BANK AMERICA CORP
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for BANK AMERICA CORP, as it reported them
BANK AMERICA CORP · COM CUSIP — $157M3,226,107
BANK AMERICA CORP · COM CUSIP — $5.1M104,428
$162M3,330,5350.5%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)CISCO SYS INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for CISCO SYS INC, as it reported them
CISCO SYS INC · COM CUSIP — $148M1,906,214
CISCO SYS INC · COM CUSIP — $12.9M165,687
$161M2,071,9010.5%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)NOVARTIS AG · SPONSORED ADR CUSIP —
quarter ended 2026-03-31 filed filed 2026-05-15 +45d
$160M1,049,7940.5%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)REGENERON PHARMACEUTICALS
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for REGENERON PHARMACEUTICALS, as it reported them
REGENERON PHARMACEUTICALS · COM CUSIP — $158M204,246
REGENERON PHARMACEUTICALS · COM CUSIP — $1.2M1,587
$159M205,8330.5%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)BANCO SANTANDER SA · ADR CUSIP —
quarter ended 2026-03-31 filed filed 2026-05-15 +45d
$156M13,815,6410.4%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)SHELL PLC · SPON ADS CUSIP —
quarter ended 2026-03-31 filed filed 2026-05-15 +45d
$155M1,669,7400.4%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)ASML HLDG NV · N Y REGISTRY SHS CUSIP —
quarter ended 2026-03-31 filed filed 2026-05-15 +45d
$155M117,1160.4%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)AMERICAN ELEC PWR CO INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for AMERICAN ELEC PWR CO INC, as it reported them
AMERICAN ELEC PWR CO INC · COM CUSIP — $153M1,164,017
AMERICAN ELEC PWR CO INC · COM CUSIP — $1.1M8,512
$154M1,172,5290.4%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)UNITEDHEALTH GROUP INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for UNITEDHEALTH GROUP INC, as it reported them
UNITEDHEALTH GROUP INC · COM CUSIP — $149M549,995
UNITEDHEALTH GROUP INC · COM CUSIP — $3.9M14,256
$153M564,2510.4%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)INTUITIVE SURGICAL INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for INTUITIVE SURGICAL INC, as it reported them
INTUITIVE SURGICAL INC · COM NEW CUSIP — $150M325,162
INTUITIVE SURGICAL INC · COM NEW CUSIP — $2.6M5,589
$152M330,7510.4%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)THERMO FISHER SCIENTIFIC INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for THERMO FISHER SCIENTIFIC INC, as it reported them
THERMO FISHER SCIENTIFIC INC · COM CUSIP — $149M304,088
THERMO FISHER SCIENTIFIC INC · COM CUSIP — $2.9M5,913
$152M310,0010.4%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)COCA COLA CO
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for COCA COLA CO, as it reported them
COCA COLA CO · COM CUSIP — $147M1,939,211
COCA COLA CO · COM CUSIP — $4.6M60,928
$152M2,000,1390.4%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)MERCK & CO INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for MERCK & CO INC, as it reported them
MERCK & CO INC · COM CUSIP — $146M1,214,067
MERCK & CO INC · COM CUSIP — $4.7M39,061
$151M1,253,1280.4%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)GE AEROSPACE
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for GE AEROSPACE, as it reported them
GE AEROSPACE · COM NEW CUSIP — $144M506,635
GE AEROSPACE · COM NEW CUSIP — $4.7M16,506
$148M523,1410.4%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)APPLIED MATLS INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for APPLIED MATLS INC, as it reported them
APPLIED MATLS INC · COM CUSIP — $130M379,348
APPLIED MATLS INC · COM CUSIP — $11.4M33,224
$141M412,5720.4%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)ISHARES GOLD TR · ISHARES NEW CUSIP —
quarter ended 2026-03-31 filed filed 2026-05-15 +45d
$139M1,575,1580.4%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)SLB LIMITED
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for SLB LIMITED, as it reported them
SLB LIMITED · COM STK CUSIP — $136M2,654,174
SLB LIMITED · COM STK CUSIP — $1.2M23,533
$138M2,677,7070.4%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)CADENCE DESIGN SYSTEM INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for CADENCE DESIGN SYSTEM INC, as it reported them
CADENCE DESIGN SYSTEM INC · COM CUSIP — $134M480,793
CADENCE DESIGN SYSTEM INC · COM CUSIP — $1.2M4,284
$135M485,0770.4%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)LAM RESEARCH CORP
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for LAM RESEARCH CORP, as it reported them
LAM RESEARCH CORP · COM NEW CUSIP — $129M604,824
LAM RESEARCH CORP · COM NEW CUSIP — $4.2M19,653
$133M624,4770.4%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)FRANCO NEV CORP · COM CUSIP —
quarter ended 2026-03-31 filed filed 2026-05-15 +45d
$131M530,1060.4%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)RTX CORPORATION
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for RTX CORPORATION, as it reported them
RTX CORPORATION · COM CUSIP — $127M656,172
RTX CORPORATION · COM CUSIP — $4.1M21,124
$131M677,2960.4%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)PHILIP MORRIS INTL INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for PHILIP MORRIS INTL INC, as it reported them
PHILIP MORRIS INTL INC · COM CUSIP — $124M749,042
PHILIP MORRIS INTL INC · COM CUSIP — $4.1M24,499
$128M773,5410.4%
—ISHARES TR
16 positions · 19 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for ISHARES TR, as it reported them
ISHARES TR · CORE S&P500 ETF CUSIP — $75.8M116,116
ISHARES TR · CORE S&P500 ETF CUSIP — $24.1M36,891
ISHARES TR · CORE S&P MCP ETF CUSIP — $7.7M113,629
ISHARES TR · MSCI EAFE ETF CUSIP — $4.9M50,890
ISHARES TR · RUS 1000 ETF CUSIP — $3.1M8,732
ISHARES TR · CORE S&P SCP ETF CUSIP — $2.6M20,681
ISHARES TR · MSCI EAFE ETF CUSIP — $1.9M19,235
ISHARES TR · RUSSELL 2000 ETF CUSIP — $1.3M5,245
ISHARES TR · S&P 500 VAL ETF CUSIP — $1.1M5,246
ISHARES TR · US CONSUM DISCRE CUSIP — $768K7,924
ISHARES TR · RUS 1000 GRW ETF CUSIP — $753K1,766
ISHARES TR · SP SMCP600VL ETF CUSIP — $509K4,300
ISHARES TR · RUS MDCP VAL ETF CUSIP — $492K3,373
ISHARES TR · SELECT DIVID ETF CUSIP — $378K2,495
ISHARES TR · GLOB HLTHCRE ETF CUSIP — $299K3,200
ISHARES TR · S&P 500 GRWT ETF CUSIP — $238K2,105
ISHARES TR · CORE S&P TTL STK CUSIP — $231K1,625
ISHARES TR · CORE S&P US GWT CUSIP — $209K1,350
ISHARES TR · RUSSELL 2000 ETF CUSIP — $186K751
ticker not yet mapped
$127M405,5540.4%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)ORACLE CORP
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for ORACLE CORP, as it reported them
ORACLE CORP · COM CUSIP — $123M832,995
ORACLE CORP · COM CUSIP — $3.9M26,687
$126M859,6820.4%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)PEPSICO INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for PEPSICO INC, as it reported them
PEPSICO INC · COM CUSIP — $122M788,690
PEPSICO INC · COM CUSIP — $3.3M21,508
$126M810,1980.4%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)WELLS FARGO & CO
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for WELLS FARGO & CO, as it reported them
WELLS FARGO & CO · COM CUSIP — $119M1,494,052
WELLS FARGO & CO · COM CUSIP — $3.9M48,670
$123M1,542,7220.4%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)NATERA INC · COM CUSIP —
quarter ended 2026-03-31 filed filed 2026-05-15 +45d
$117M587,0300.3%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)GE VERNOVA INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for GE VERNOVA INC, as it reported them
GE VERNOVA INC · COM CUSIP — $114M130,236
GE VERNOVA INC · COM CUSIP — $3.7M4,242
$117M134,4780.3%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)INTERNATIONAL BUSINESS MACHS
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for INTERNATIONAL BUSINESS MACHS, as it reported them
INTERNATIONAL BUSINESS MACHS · COM CUSIP — $113M464,388
INTERNATIONAL BUSINESS MACHS · COM CUSIP — $3.6M14,711
$116M479,0990.3%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)CROWDSTRIKE HLDGS INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for CROWDSTRIKE HLDGS INC, as it reported them
CROWDSTRIKE HLDGS INC · CL A CUSIP — $114M293,184
CROWDSTRIKE HLDGS INC · CL A CUSIP — $1.5M3,967
$116M297,1510.3%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)LINDE PLC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for LINDE PLC, as it reported them
LINDE PLC · SHS CUSIP — $111M223,644
LINDE PLC · SHS CUSIP — $3.6M7,349
$115M230,9930.3%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)MCDONALDS CORP
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for MCDONALDS CORP, as it reported them
MCDONALDS CORP · COM CUSIP — $110M353,127
MCDONALDS CORP · COM CUSIP — $3.5M11,207
$113M364,3340.3%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)EOG RES INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for EOG RES INC, as it reported them
EOG RES INC · COM CUSIP — $112M774,529
EOG RES INC · COM CUSIP — $1.2M8,539
$113M783,0680.3%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)ECOLAB INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for ECOLAB INC, as it reported them
ECOLAB INC · COM CUSIP — $112M421,325
ECOLAB INC · COM CUSIP — $1.1M4,012
$113M425,3370.3%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)BWX TECHNOLOGIES INC · COM CUSIP —
quarter ended 2026-03-31 filed filed 2026-05-15 +45d
$109M532,1460.3%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)WILLIAMS COS INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for WILLIAMS COS INC, as it reported them
WILLIAMS COS INC · COM CUSIP — $105M1,445,488
WILLIAMS COS INC · COM CUSIP — $1.4M19,219
$107M1,464,7070.3%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)MITSUBISHI UFJ FINANCIAL GRO · SPONSORED ADS CUSIP —
quarter ended 2026-03-31 filed filed 2026-05-15 +45d
$105M6,189,3290.3%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)LOCKHEED MARTIN CORP
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for LOCKHEED MARTIN CORP, as it reported them
LOCKHEED MARTIN CORP · COM CUSIP — $103M170,009
LOCKHEED MARTIN CORP · COM CUSIP — $1.9M3,186
$105M173,1950.3%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)INTEL CORP
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for INTEL CORP, as it reported them
INTEL CORP · COM CUSIP — $99.5M2,255,506
INTEL CORP · COM CUSIP — $3.3M73,893
$103M2,329,3990.3%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)AT&T INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for AT&T INC, as it reported them
AT&T INC · COM CUSIP — $97.7M3,368,550
AT&T INC · COM CUSIP — $3.2M110,174
$101M3,478,7240.3%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)DISNEY WALT CO
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for DISNEY WALT CO, as it reported them
DISNEY WALT CO · COM CUSIP — $98.1M1,018,344
DISNEY WALT CO · COM CUSIP — $2.7M27,880
$101M1,046,2240.3%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)MORGAN STANLEY
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for MORGAN STANLEY, as it reported them
MORGAN STANLEY · COM NEW CUSIP — $95.4M579,664
MORGAN STANLEY · COM NEW CUSIP — $3.1M18,934
$98.5M598,5980.3%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)CITIGROUP INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for CITIGROUP INC, as it reported them
CITIGROUP INC · COM NEW CUSIP — $95.4M840,783
CITIGROUP INC · COM NEW CUSIP — $3.1M27,501
$98.5M868,2840.3%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)AMERICAN EXPRESS CO
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for AMERICAN EXPRESS CO, as it reported them
AMERICAN EXPRESS CO · COM CUSIP — $93.3M308,439
AMERICAN EXPRESS CO · COM CUSIP — $2.5M8,429
$95.8M316,8680.3%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)ATMOS ENERGY CORP
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for ATMOS ENERGY CORP, as it reported them
ATMOS ENERGY CORP · COM CUSIP — $95.3M516,109
ATMOS ENERGY CORP · COM CUSIP — $481K2,604
$95.8M518,7130.3%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)AMGEN INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for AMGEN INC, as it reported them
AMGEN INC · COM CUSIP — $92.5M262,755
AMGEN INC · COM CUSIP — $3.0M8,474
$95.4M271,2290.3%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)KLA CORP
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for KLA CORP, as it reported them
KLA CORP · COM NEW CUSIP — $92.4M62,728
KLA CORP · COM NEW CUSIP — $3.0M2,062
$95.4M64,7900.3%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)ABBOTT LABORATORIES
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for ABBOTT LABORATORIES, as it reported them
ABBOTT LABORATORIES · COM CUSIP — $88.4M861,342
ABBOTT LABORATORIES · COM CUSIP — $2.8M27,366
$91.2M888,7080.3%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)COGNEX CORP · COM CUSIP —
quarter ended 2026-03-31 filed filed 2026-05-15 +45d
$90.4M1,844,4290.3%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)CONOCOPHILLIPS
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for CONOCOPHILLIPS, as it reported them
CONOCOPHILLIPS · COM CUSIP — $77.9M590,482
CONOCOPHILLIPS · COM CUSIP — $11.6M87,790
$89.5M678,2720.3%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)TEXAS INSTRS INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for TEXAS INSTRS INC, as it reported them
TEXAS INSTRS INC · COM CUSIP — $84.8M436,935
TEXAS INSTRS INC · COM CUSIP — $2.8M14,283
$87.6M451,2180.3%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)SALESFORCE INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for SALESFORCE INC, as it reported them
SALESFORCE INC · COM CUSIP — $83.6M447,922
SALESFORCE INC · COM CUSIP — $2.8M14,746
$86.4M462,6680.2%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)GILEAD SCIENCES INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for GILEAD SCIENCES INC, as it reported them
GILEAD SCIENCES INC · COM CUSIP — $83.3M597,488
GILEAD SCIENCES INC · COM CUSIP — $2.7M19,526
$86.0M617,0140.2%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)NASDAQ INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for NASDAQ INC, as it reported them
NASDAQ INC · COM CUSIP — $84.4M994,607
NASDAQ INC · COM CUSIP — $600K7,067
$85.0M1,001,6740.2%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)PFIZER INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for PFIZER INC, as it reported them
PFIZER INC · COM CUSIP — $77.2M2,750,430
PFIZER INC · COM CUSIP — $2.5M89,481
$79.7M2,839,9110.2%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)SCHWAB CHARLES CORP
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for SCHWAB CHARLES CORP, as it reported them
SCHWAB CHARLES CORP · COM CUSIP — $76.0M809,095
SCHWAB CHARLES CORP · COM CUSIP — $2.5M26,287
$78.5M835,3820.2%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)AMPHENOL CORP
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for AMPHENOL CORP, as it reported them
AMPHENOL CORP · CL A CUSIP — $74.8M592,043
AMPHENOL CORP · CL A CUSIP — $2.4M19,345
$77.2M611,3880.2%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)BOEING CO
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for BOEING CO, as it reported them
BOEING CO · COM CUSIP — $74.7M375,493
BOEING CO · COM CUSIP — $2.5M12,360
$77.2M387,8530.2%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)ANALOG DEVICES INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for ANALOG DEVICES INC, as it reported them
ANALOG DEVICES INC · COM CUSIP — $74.7M234,940
ANALOG DEVICES INC · COM CUSIP — $2.4M7,689
$77.2M242,6290.2%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)T-MOBILE US INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for T-MOBILE US INC, as it reported them
T-MOBILE US INC · COM CUSIP — $75.0M356,941
T-MOBILE US INC · COM CUSIP — $1.6M7,456
$76.5M364,3970.2%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)IMPINJ INC · COM CUSIP —
quarter ended 2026-03-31 filed filed 2026-05-15 +45d
$74.8M728,3950.2%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)BLACKROCK INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for BLACKROCK INC, as it reported them
BLACKROCK INC · COM CUSIP — $67.9M70,620
BLACKROCK INC · COM CUSIP — $5.6M5,809
$73.5M76,4290.2%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)UBER TECHNOLOGIES INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for UBER TECHNOLOGIES INC, as it reported them
UBER TECHNOLOGIES INC · COM CUSIP — $70.7M983,192
UBER TECHNOLOGIES INC · COM CUSIP — $2.3M32,390
$73.1M1,015,5820.2%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)ACCENTURE PLC IRELAND
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for ACCENTURE PLC IRELAND, as it reported them
ACCENTURE PLC IRELAND · SHS CLASS A CUSIP — $70.2M354,064
ACCENTURE PLC IRELAND · SHS CLASS A CUSIP — $1.9M9,684
$72.1M363,7480.2%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)UNION PAC CORP
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for UNION PAC CORP, as it reported them
UNION PAC CORP · COM CUSIP — $69.8M287,697
UNION PAC CORP · COM CUSIP — $2.3M9,339
$72.1M297,0360.2%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)DEERE & CO
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for DEERE & CO, as it reported them
DEERE & CO · COM CUSIP — $69.5M123,310
DEERE & CO · COM CUSIP — $2.2M3,967
$71.7M127,2770.2%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)HONEYWELL INTL INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for HONEYWELL INTL INC, as it reported them
HONEYWELL INTL INC · COM CUSIP — $69.3M306,620
HONEYWELL INTL INC · COM CUSIP — $2.3M9,992
$71.6M316,6120.2%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)EATON CORP PLC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for EATON CORP PLC, as it reported them
EATON CORP PLC · SHS CUSIP — $66.5M186,003
EATON CORP PLC · SHS CUSIP — $2.2M6,113
$68.7M192,1160.2%
verified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)WELLTOWER INC
1 position · 2 reported rows
Rows Chevy Chase Trust Holdings, LLC reported for WELLTOWER INC, as it reported them
WELLTOWER INC · COM CUSIP — $66.2M335,048
WELLTOWER INC · COM CUSIP — $2.2M10,981
$68.4M346,0290.2%

1–20 of the 100 issuers on this page

Change kind and share change are in Position changes above; Congress overlap is planned.

1–100 of 597 issuers · page 1 of 6
One line per issuer, largest first; a row with no issuer key stands on its own line. Open a line for its rows as this filer reported them. The list holds every row this filer reported for the quarter. Issuer totals on the holders pages count each manager's own report once; that never removes a row here. how positions are grouped ↗

Book shape

2026-03-31 · concentration · vs tracked median · tick = median
Top-25 concentration
48.4%below median 80.0%
Concentration index
188 bpsbelow median 446 bps
Positions with value
1154 / 1154median book 97.5 positions

Concentration uses reported 13F long value, not total assets. The index is withheld when any position lacks a value. Medians are over the 8,748 tracked filers with a 2026-03-31 book; the index median over the 8,662 with a complete book.

holdings whose <value> did not parse — retained and counted, never zero-filled: 0 · share of the period's disclosed value held in the top-N positions; denominator is reported 13F value, not total assets: 48.4% · integer Herfindahl–Hirschman index in basis points over disclosed position values: 188 · QoQ moves: 659

Filing history

AVAILABLE QUARTERS
Available filing periods
PeriodSource
2026-03-31EDGAR ↗

PLANNED sector rotation · Congress overlap · signals for this filer

Complete source filings on SEC EDGAR

The complete filing on EDGAR.

The position list above is served from the published Public Filings build, each position as this filer reported it; where the page cannot embed every reported row, the list says how many it leaves out. This block is provenance, not a substitute: the filing itself is the record, and it is one click away. Public Filings decided on 2026-08-01 to serve this list from its published build; filings newer than this build are on EDGAR.

Open Chevy Chase Trust Holdings, LLC's 13F filings on SEC EDGAR ↗
Notes on this data

Quarter-end holdings as filed

Explore the full published position list and its source filing. This record excludes the manager’s cash, shorts and non-13(f) assets.

Compare consecutive quarters

Position changes retain the producer’s classification and comparability flags. Share counts and reported values describe different changes.

A snapshot, not current holdings

Use the quarter selector to inspect available periods. Unknown values stay unknown and each table states its coverage.

A 13F is a quarterly, long-only snapshot filed up to 45 days late — not current holdings. what a 13F covers ↗

13F reports cover LONG positions in Section 13(f) securities (US exchange-traded equities plus reportable options, warrants, certain convertibles) held by managers with at least $100M in such securities — so managers below that threshold are absent entirely. No short positions, no cash, no non-13(f) assets — not a full portfolio, and not a census of institutional ownership.

Positions are quarter-end snapshots filed up to 45 days late — not current holdings. A position may have been changed or closed before you ever see it, and is older still by however long ago that quarter ended.

Values are the manager's stated market value at quarter-end in era-dependent units (whole dollars for form versions effective 2023-01-03 onward, thousands before), normalized here to whole dollars with unit_basis carried on every record.

Affiliated managers may report the same position (otherManager), so one position can appear under more than one filer.

Positions under confidential treatment may be omitted until a later amendment discloses them.

These are disclosures, not investment advice (ARCHITECTURE.md §5.2 / M2-CONTRACT §5).