National Pension Service Q3 2024 Filing

Filed October 30, 2024

Portfolio Value

$103.7B

Holdings

511

Report Date

Q3 2024

Filing Type

13F-HR

All Holdings (511 positions)

StockValue
CITHECIGNAGROUP
$214.5B
EQIXEQUINIXINC
$213.0B
DHIDRHORTONINC
$211.5B
MRSHMARSH&MCLENNANCOSINC
$211.0B
ADPAUTOMATICDATAPROCESSINGIN
$209.1B
CMGCHIPOTLEMEXICANGRILLINC
$207.4B
PHPARKER-HANNIFINCORP
$206.4B
MOALTRIAGROUPINC
$205.9B
DEDEERE&CO
$205.4B
DUKDUKEENERGYCORPNEW
$205.3B
FISVFISERVINC
$199.8B
MDLZMONDELEZINTLINC
$198.0B
APHAMPHENOLCORPNEW
$197.4B
NXPINXPSEMICONDUCTORSNV
$195.6B
NKENIKEINC
$195.1B
CLCOLGATEPALMOLIVECO
$194.2B
INTCINTELCORP
$193.8B
SHWSHERWINWILLIAMSCO
$190.6B
CDNSCADENCEDESIGNSYSTEMINC
$190.5B
T7DTRANSDIGMGROUPINC
$190.2B
NOCNORTHROPGRUMMANCORP
$188.8B
AFLAFLACINC
$185.9B
ECLECOLABINC
$182.9B
MCKMCKESSONCORP
$182.5B
SNPSSYNOPSYSINC
$182.5B
ZTSZOETISINC
$182.4B
SCHWSCHWABCHARLESCORP
$182.2B
MARMARRIOTTINTLINCNEW
$178.9B
CVSCVSHEALTHCORP
$178.8B
WELLWELLTOWERINC
$177.4B
PNCPNCFINLSVCSGROUPINC
$176.8B
UPSUNITEDPARCELSERVICEINC
$176.8B
EMREMERSONELECCO
$173.9B
ADSKAUTODESKINC
$173.4B
MMM3MCO
$173.3B
CMECMEGROUPINC
$173.2B
MSIMOTOROLASOLUTIONSINC
$172.3B
FDXFEDEXCORP
$168.1B
ICEINTERCONTINENTALEXCHANGEIN
$167.2B
USBUSBANCORPDEL
$167.0B
CSXCSXCORP
$164.5B
DYHTARGETCORP
$163.6B
MCOMOODYSCORP
$163.6B
PYPLPAYPALHLDGSINC
$162.6B
RHCRHPLC
$162.0B
PCARPACCARINC
$161.8B
AIGAMERICANINTLGROUPINC
$160.1B
WMWASTEMGMTINCDEL
$159.3B
MPCMARATHONPETECORP
$159.2B
TRVTRAVELERSCOMPANIESINC
$157.9B
AEPAMERICANELECPWRCOINC
$157.3B
SPGSIMONPPTYGROUPINCNEW
$157.0B
EOGEOGRESINC
$156.3B
KKRKKR&COINC
$154.4B
CARRCARRIERGLOBALCORPORATION
$152.8B
JCIJOHNSONCTLSINTLPLC
$152.3B
CITCINTASCORP
$151.6B
FCXFREEPORT-MCMORANINC
$150.8B
ITWILLINOISTOOLWKSINC
$150.3B
PSAPUBLICSTORAGEOPERCO
$149.4B
FTNTFORTINETINC
$147.8B
BDXBECTONDICKINSON&CO
$146.9B
BABOEINGCO
$146.8B
TFCTRUISTFINLCORP
$145.5B
ORLYOREILLYAUTOMOTIVEINC
$145.0B
COFCAPITALONEFINLCORP
$145.0B
GDGENERALDYNAMICSCORP
$144.8B
KMBKIMBERLY-CLARKCORP
$142.9B
GMGENERALMTRSCO
$142.1B
GEVGEVERNOVAINC
$141.4B
DDOMINIONENERGYINC
$139.9B
MRVLMARVELLTECHNOLOGYINC
$137.3B
AONAONPLC
$136.5B
WDAYWORKDAYINC
$136.5B
ROSTROSSSTORESINC
$135.7B
NEMNEWMONTCORP
$135.4B
HLTHILTONWORLDWIDEHLDGSINC
$135.4B
ROPROPERTECHNOLOGIESINC
$133.6B
BKBANKNEWYORKMELLONCORP
$133.0B
PSXPHILLIPS66
$131.7B
APDAIRPRODS&CHEMSINC
$129.9B
NSCNORFOLKSOUTHNCORP
$129.4B
8CWCROWNCASTLEINC
$128.7B
SRESEMPRA
$127.2B
AJGGALLAGHERARTHURJ&CO
$126.6B
METMETLIFEINC
$126.6B
OREALTYINCOMECORP
$126.2B
CTVACORTEVAINC
$125.7B
AZOAUTOZONEINC
$125.6B
VLOVALEROENERGYCORP
$125.5B
OTISOTISWORLDWIDECORP
$122.2B
EAELECTRONICARTSINC
$118.9B
TELTECONNECTIVITYPLC
$116.8B
ABNBAIRBNBINC
$114.5B
SLBSCHLUMBERGERLTD
$113.7B
TGRWTROWEPRICEETFINC
$113.3B
TDVGTROWEPRICEETFINC
$113.2B
PLTRPALANTIRTECHNOLOGIESINC
$111.6B
WMBWILLIAMSCOSINC
$108.6B
CNCCENTENECORPDEL
$108.1B
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