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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 $42,842,292 $667,393 1.58% 332,239,563
EXXON MOBIL CORP COM $22,194,607 $757,409 3.53% 249,798,616
MICROSOFT CORP COM $20,802,249 $760,608 3.80% 427,545,970
JOHNSON & JOHNSON COM $16,407,609 $447,167 2.80% 163,863,072
WELLS FARGO & CO NEW COM $14,830,732 $382,636 2.65% 268,721,371
GENERAL ELECTRIC CO COM $14,748,467 $493,277 3.46% 540,039,055
JPMORGAN CHASE & CO COM $12,897,658 $469,050 3.77% 202,761,481
BERKSHIRE HATHAWAY INC ... CL B NEW $12,527,177 $450,203 3.73% 87,382,650
PROCTER & GAMBLE CO COM $11,805,814 $371,231 3.25% 147,039,654
PFIZER INC COM $11,717,548 $334,551 2.94% 343,824,764
CHEVRON CORP NEW COM $11,613,645 $426,604 3.81% 106,508,112
VERIZON COMMUNICATIONS ... COM $11,284,148 $353,309 3.23% 223,847,417
COCA COLA CO COM $10,002,704 $296,451 3.05% 244,505,118
AT&T INC COM $9,655,970 $307,402 3.29% 280,533,698
INTERNATIONAL BUSINESS ... COM $9,559,263 $221,221 2.37% 55,042,685
MERCK & CO INC NEW COM $9,320,511 $147,020 1.60% 155,705,154
DISNEY WALT CO COM DISNEY $9,113,484 $154,476 1.72% 82,460,044
FACEBOOK INC CL A $8,916,245 $690,048 8.39% 112,878,155
PEPSICO INC COM $8,897,122 $234,543 2.71% 93,105,082
INTEL CORP COM $8,874,397 $110,357 1.26% 265,541,510

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