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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 $33,118,008 ($400,282) (1.19%) 323,102,515
EXXON MOBIL CORP COM $23,582,854 $557,832 2.42% 237,108,925
MICROSOFT CORP COM $17,570,017 $313,270 1.82% 386,749,214
JOHNSON & JOHNSON COM $16,219,219 $488,134 3.10% 156,359,961
GENERAL ELECTRIC CO COM $13,264,560 $274,842 2.12% 510,568,145
WELLS FARGO & CO NEW COM $13,245,296 $317,780 2.46% 257,490,200
CHEVRON CORP NEW COM $13,001,922 $326,368 2.57% 100,439,724
PROCTER & GAMBLE CO COM $11,527,163 $246,878 2.19% 138,697,671
JPMORGAN CHASE & CO COM $11,412,872 $249,207 2.23% 191,974,298
BERKSHIRE HATHAWAY INC ... CL B NEW $11,200,977 $254,527 2.33% 81,610,030
VERIZON COMMUNICATIONS ... COM $10,547,406 $235,611 2.28% 211,710,287
INTERNATIONAL BUSINESS ... COM $10,337,648 ($234,144) (2.21%) 53,757,918
PFIZER INC COM $9,639,466 $163,218 1.72% 327,984,566
COCA COLA CO COM $9,564,892 $173,510 1.85% 229,263,958
AT&T INC COM $9,319,449 $165,224 1.80% 266,574,625
MERCK & CO INC NEW COM $9,054,421 $159,236 1.79% 150,630,864
INTEL CORP COM $8,947,845 $204,553 2.34% 256,238,401
GILEAD SCIENCES INC COM $8,469,390 $156,267 1.88% 78,741,071
GOOGLE INC CL A $8,453,655 $214,768 2.61% 14,516,202
GOOGLE INC CL C $8,359,157 $272,495 3.37% 14,624,137

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