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  Institutional Portfolio Description | Show Summary  
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Company Class Value
of Shares
($1000)
Change
in Value
($1000)
% Change
in Value
Shares
Held
APPLE INC COM $41,393,896 ($667,632) (1.59%) 326,966,007
EXXON MOBIL CORP COM $20,721,793 $145,881 0.71% 251,569,659
MICROSOFT CORP COM $20,642,430 $1,640,149 8.63% 464,448,862
JOHNSON & JOHNSON COM $16,631,168 $495,572 3.07% 168,895,788
WELLS FARGO & CO NEW COM $15,740,497 $447,564 2.93% 276,585,781
GENERAL ELECTRIC CO COM $14,965,336 $567,895 3.94% 561,340,433
JPMORGAN CHASE & CO COM $14,251,192 $449,218 3.25% 209,360,838
PROCTER & GAMBLE CO COM $13,082,558 $1,360,557 11.61% 164,106,348
BERKSHIRE HATHAWAY INC ... CL B NEW $12,463,900 $447,038 3.72% 90,633,364
PFIZER INC COM $11,883,350 $299,893 2.59% 352,726,315
VERIZON COMMUNICATIONS ... COM $10,883,440 $362,611 3.45% 231,562,553
CHEVRON CORP NEW COM $10,765,376 $531,011 5.19% 112,034,299
AT&T INC COM $10,343,890 $365,306 3.66% 290,803,754
FACEBOOK INC CL A $10,194,613 $384,373 3.92% 117,300,806
COCA COLA CO COM $9,903,689 $245,737 2.54% 250,726,296
INTERNATIONAL BUSINESS ... COM $9,860,997 $807,025 8.91% 59,948,912
DISNEY WALT CO COM DISNEY $9,855,144 $361,519 3.81% 85,600,135
GILEAD SCIENCES INC COM $9,710,427 $247,883 2.62% 83,703,360
BANK AMER CORP COM $9,615,315 $330,872 3.56% 558,380,691
MERCK & CO INC NEW COM $9,363,445 $394,828 4.40% 162,559,814

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