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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 $36,982,313 $61,312 0.17% 327,508,974
MICROSOFT CORP COM $20,360,966 ($28,339) (0.14%) 463,803,325
EXXON MOBIL CORP COM $19,026,787 $196,798 1.05% 254,198,890
JOHNSON & JOHNSON COM $16,350,474 $99,321 0.61% 169,928,015
WELLS FARGO & CO NEW COM $14,447,542 ($496,387) (3.32%) 267,398,525
GENERAL ELECTRIC CO COM $14,165,238 $126,114 0.90% 566,382,979
JPMORGAN CHASE & CO COM $13,633,054 $133,467 0.99% 211,430,731
BERKSHIRE HATHAWAY INC ... CL B NEW $12,508,670 $161,686 1.31% 91,820,228
PROCTER & GAMBLE CO COM $11,868,005 $137,683 1.17% 166,032,526
PFIZER INC COM $11,786,930 $55,253 0.47% 354,387,553
AT&T INC COM $11,535,847 $70,481 0.61% 344,971,514
GOOGLE INC CL A $10,873,852 $202,606 1.90% 16,279,196
AMAZON COM INC COM $10,835,671 $166,146 1.56% 20,903,353
VERIZON COMMUNICATIONS ... COM $10,719,202 $23,328 0.22% 232,067,599
FACEBOOK INC CL A $10,715,570 $190,169 1.81% 119,420,150
GOOGLE INC CL C $10,474,856 $186,537 1.81% 16,428,312
COCA COLA CO COM $9,946,234 $100,212 1.02% 253,278,175
BANK AMER CORP COM $9,289,408 $109,630 1.19% 565,049,172
GILEAD SCIENCES INC COM $9,052,802 $13,676 0.15% 83,830,001
MERCK & CO INC NEW COM $9,007,707 $75,045 0.84% 163,925,505

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