StockScan > Holders > Goldman Sachs Group

Goldman Sachs Group's Portfolio and 13F Filing

Value: $335.46B
CIK: 0000886982
Phone: 9723686370
Address: 200 West Street, New York, NY (10282)
Latest 13F Filing:
Goldman Sachs Group's Stock Holdings & 13F Form
# Stock Name Symbol Current Price

Previous Holdings

(# Shares)

Current Holdings

(# Shares)

Current Value Percent
1 SPDR S&P 500 SPY $409.83 84,802,272

85,942,338

up arrow 1,140,066

$35,221,748,383 10.50%
2 Apple Inc. AAPL $151.73 23,625,703

79,844,430

up arrow 56,218,727

$12,114,795,364 3.61%
3 Invesco QQQ Trust QQQ $303.59 25,365,152

34,465,833

up arrow 9,100,681

$10,463,482,240 3.12%
4 Microsoft Corporation MSFT $256.77 37,578,276

36,394,482

up arrow -1,183,794

$9,345,011,143 2.79%
5 iShares Russell 2000 ETF IWM $194.14 68,977,278

41,462,973

up arrow -27,514,305

$8,049,621,578 2.40%
6 Alibaba Group Holding Limited A BABA $105.45 19,298,318

38,553,236

up arrow 19,254,918

$4,065,438,736 1.21%
7 SPDR Gold Trust GLD $173.82 12,926,922

21,278,618

up arrow 8,351,696

$3,698,649,381 1.10%
8 iShares MSCI EAFE ETF EFA $70.69 48,425,860

52,064,276

up arrow 3,638,416

$3,680,423,670 1.10%
9 Tesla, Inc. TSLA $194.76 4,535,791

17,354,054

up arrow 12,818,263

$3,379,875,557 1.01%
10 iShares MSCI Emerging Index Fun EEM $40.28 68,363,064

80,726,220

up arrow 12,363,156

$3,251,652,142 0.97%
11 Visa Inc. V $229.44 17,775,326

13,809,488

up arrow -3,965,838

$3,168,448,927 0.94%
12 General Electric Company GE $82.35 45,007,681

28,675,701

up arrow -16,331,980

$2,361,443,977 0.70%
13 iShares iBoxx $ High Yield Corp HYG $75.90 32,975,151

29,609,018

up arrow -3,366,133

$2,247,324,466 0.67%
14 iShares Russell 1000 Growth ETF IWF $236.74 9,261,913

9,217,908

up arrow -44,005

$2,182,247,540 0.65%
15 JP Morgan Chase & Co. JPM $141.92 15,610,868

14,511,619

up arrow -1,099,249

$2,059,488,968 0.61%
16 iShares Russell 1000 Value ETF IWD $159.24 11,604,469

12,457,816

up arrow 853,347

$1,983,782,620 0.59%
17 Johnson & Johnson JNJ $163.36 12,500,378

11,063,969

up arrow -1,436,409

$1,807,409,976 0.54%
18 Mastercard Incorporated MA $372.97 4,336,082

4,827,458

up arrow 491,376

$1,800,497,010 0.54%
19 UnitedHealth Group Incorporated UNH $475.24 4,475,049

3,752,969

up arrow -722,080

$1,783,560,988 0.53%
20 SPDR Select Sector Fund - Energ XLE $85.57 10,821,868

20,081,051

up arrow 9,259,183

$1,718,335,534 0.51%