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MAJOR GURUS:
David Einhorn
Bill Ackman
Bill Miller
Steven Cohen
Jim Simons

Ensign Peak Advisors, Inc INSTITUTION : Ensign Peak Advisors, Inc
Ensign Peak Advisors, Inc Portfolio (reported on 2020-05-11)
Company (links to holding history) Ticker Value On
2020-03-31
No of Shares % of portfolio
Microsoft Corp    (COM) MSFT 1,521,258,000 9,645,933 5.09%
Apple Inc    (COM) AAPL 1,363,898,000 5,363,556 4.56%
Amazon.com Inc    (COM) AMZN 970,919,000 497,979 3.25%
Google Inc    (CAP STK CL A) GOOGL 817,656,000 703,692 2.73%
Johnson & Johnson    (COM) JNJ 572,151,000 4,363,219 1.91%
Intel Corp    (COM) INTC 533,792,000 9,863,139 1.78%
Visa Inc    (CL A) V 468,113,000 2,905,367 1.56%
UnitedHealth Group Inc    (COM) UNH 448,146,000 1,797,033 1.50%
Facebook Inc    (CL A) FB 427,930,000 2,565,530 1.43%
Merck & Co Inc    (COM) MRK 398,970,000 5,185,436 1.33%
JPMorgan Chase & Co    (COM) JPM 368,603,000 4,094,218 1.23%
Home Depot Inc/The    (COM) HD 351,575,000 1,883,000 1.17%
Berkshire Hathaway Inc    (CL B NEW) BRK/B 339,123,000 1,854,866 1.13%
Abbott Laboratories    (COM) ABT 300,944,000 3,813,764 1.00%
Thermo Fisher Scientific Inc    (COM) TMO 299,835,000 1,057,257 1.00%
Adobe Systems Inc    (COM) ADBE 294,641,000 925,837 0.98%
Danaher Corp    (COM) DHR 293,716,000 2,122,084 0.98%
Stryker Corp    (COM) SYK 288,992,000 1,735,789 0.96%
Wal-Mart Stores Inc    (COM) WMT 282,424,000 2,485,693 0.94%
CME Group Inc/IL    (COM) CME 264,509,000 1,529,733 0.88%
NextEra Energy Inc    (COM) NEE 263,709,000 1,095,951 0.88%
Mastercard Inc    (CL A) MA 252,515,000 1,045,348 0.84%
Walt Disney Co/The    (COM) DIS 249,016,000 2,577,813 0.83%
Halfmoon Parent Inc    (COM) 247,262,000 1,395,550 0.82%
Chevron Corp    (COM) CVX 242,765,000 3,350,343 0.81%
Air Products & Chemicals Inc    (COM) APD 240,365,000 1,204,169 0.80%
American Tower Corp    (COM) AMT 238,758,000 1,096,476 0.79%
Fastenal Co    (COM) FAST 235,955,000 7,550,615 0.79%
Union Pacific Corp    (COM) UNP 233,225,000 1,653,605 0.78%
NVIDIA Corp    (COM) NVDA 223,184,000 846,677 0.74%
iShares Core MSCI Emerging Markets ETF    (CORE MSCI EMKT) IEMG 222,410,000 5,495,659 0.74%
Teladoc Inc    (COM) 221,524,000 1,429,095 0.74%
TJX Cos Inc    (COM) TJX 213,792,000 4,471,722 0.71%
IntercontinentalExchange Inc    (COM) ICE 210,870,000 2,611,408 0.70%
O'Reilly Automotive Inc    (COM) ORLY 206,931,000 687,361 0.69%
First Republic Bank/CA    (COM) FRC 195,783,000 2,379,461 0.65%
Vertex Pharmaceuticals Inc    (COM) VRTX 190,230,000 799,448 0.63%
Shopify Inc    (CL A) 189,468,000 454,003 0.63%
NIKE Inc    (CL B) NKE 188,520,000 2,278,460 0.63%
Enterprise Products Partners LP    (COM) EPD 188,285,000 13,166,789 0.63%
Knight-Swift Transportation Holdings Inc    (CL A) 187,828,000 5,726,426 0.62%
Applied Materials Inc    (COM) AMAT 186,366,000 4,067,341 0.62%
Prologis Inc    (COM) PLD 179,527,000 2,233,776 0.60%
Exact Sciences Corp    (COM) EXAS 176,781,000 3,047,979 0.59%
iShares Core S&P 500 ETF    (ETF) IVV 175,282,000 678,336 0.58%
Bank of America Corp    (COM) BAC 169,865,000 8,001,029 0.56%
Fortive Corp    (COM) FTV 165,379,000 2,996,504 0.55%
Southern Co/The    (COM) SO 160,381,000 2,962,316 0.53%
Salesforce.com Inc    (COM) CRM 153,060,000 1,063,067 0.51%
Costco Wholesale Corp    (COM) COST 150,044,000 526,233 0.50%
Aon PLC    (CL A) AON 148,788,000 901,538 0.49%
Procter & Gamble Co/The    (COM) PG 135,754,000 1,234,123 0.45%
Intuitive Surgical Inc    (COM) ISRG 135,000,000 272,612 0.45%
Dominion Resources Inc/VA    (COM) D 134,160,000 1,858,412 0.44%
Vanguard FTSE Emerging Markets ETF    (ETF) VWO 132,043,000 3,935,694 0.44%
Texas Instruments Inc    (COM) TXN 124,913,000 1,249,987 0.41%
Citigroup Inc    (COM) C 123,884,000 2,941,196 0.41%
CoStar Group Inc    (COM) CSGP 123,064,000 209,573 0.41%
Verizon Communications Inc    (COM) VZ 120,274,000 2,238,489 0.40%
ServiceNow Inc    (COM) NOW 117,710,000 410,738 0.39%
US Bancorp/MN    (COM) USB 116,295,000 3,375,730 0.38%
Gilead Sciences Inc    (COM) GILD 112,039,000 1,498,675 0.37%
Honeywell International Inc    (COM) HON 112,023,000 837,312 0.37%
Charter Communications Inc    (CL A) CHTR 109,786,000 251,624 0.36%
Google Inc    (CAP STK CL C) GOOG 108,287,000 93,126 0.36%
Boeing Co/The    (COM) BA 107,513,000 720,892 0.35%
Wells Fargo & Co    (COM) WFC 102,825,000 3,582,838 0.34%
iShares Russell 2000 ETF    (ETF) IWM 100,725,000 880,000 0.33%
Cisco Systems Inc    (COM) CSCO 97,669,000 2,484,565 0.32%
EPAM Systems Inc    (COM) EPAM 96,987,000 522,399 0.32%
Kinder Morgan Inc/DE    (COM) KMI 96,559,000 6,936,622 0.32%
Royal Bank of Canada    (COM) RY 94,430,000 1,528,028 0.31%
Quintiles Transnational Holdings Inc    (COM) 92,443,000 857,084 0.30%
AT&T Inc    (COM) T 91,653,000 3,144,208 0.30%
Duke Energy Corp    (COM) DUK 91,106,000 1,126,436 0.30%
Illinois Tool Works Inc    (COM) ITW 89,619,000 630,589 0.30%
Exxon Mobil Corp    (COM) XOM 88,211,000 2,323,170 0.29%
Biogen Idec Inc    (COM) BIIB 88,186,000 278,738 0.29%
Marriott International Inc/DE    (CL A) MAR 87,781,000 1,173,372 0.29%
Splunk Inc    (COM) SPLK 86,459,000 684,933 0.28%
LyondellBasell Industries NV    (SHS) LALLF 85,936,000 1,731,532 0.28%
Pfizer Inc    (COM) PFE 84,114,000 2,577,066 0.28%
LKQ Corp    (COM) LKQX 83,330,000 4,062,813 0.27%
ConocoPhillips    (COM) COP 80,178,000 2,603,181 0.26%
Dollar General Corp    (COM) DG 75,469,000 499,765 0.25%
Humana Inc    (COM) HUM 69,495,000 221,305 0.23%
Northern Trust Corp    (COM) NTRS 68,784,000 911,531 0.23%
Amgen Inc    (COM) AMGN 68,224,000 336,524 0.22%
Motorola Solutions Inc    (COM) MSI 66,936,000 503,572 0.22%
Clorox Co/The    (COM) CLX 65,972,000 380,789 0.22%
AO Smith Corp    (COM) AOS 64,864,000 1,715,497 0.21%
Ross Stores Inc    (COM) ROST 62,721,000 721,164 0.21%
Citrix Systems Inc    (COM) CTXS 62,224,000 439,597 0.20%
Xilinx Inc    (COM) XLNX 59,066,000 757,830 0.19%
Wabtec Corp/DE    (COM) WAB 58,900,000 1,223,754 0.19%
Comcast Corp    (CL A) CMCSA 58,848,000 1,711,691 0.19%
Medtronic Inc    (SHS) MDT 58,686,000 650,770 0.19%
American Electric Power Co Inc    (COM) AEP 57,125,000 714,235 0.19%
Bristol-Myers Squibb Co    (COM) BMY 55,750,000 1,000,192 0.18%
Delta Air Lines Inc    (COM) DAL 53,150,000 1,862,994 0.17%
Waste Management Inc    (COM) WMI 51,439,000 555,734 0.17%
Toronto-Dominion Bank/The    (COM) TD 51,362,000 1,204,421 0.17%
Ritchie Bros Auctioneers Inc    (COM) RBA 50,789,000 1,485,946 0.17%
Sherwin-Williams Co/The    (COM) SHW 49,082,000 106,814 0.16%
Lockheed Martin Corp    (COM) LMT 48,307,000 142,521 0.16%
Oracle Corp    (COM) ORCL 48,258,000 998,474 0.16%
Pluralsight Inc    (CL A) 47,816,000 4,354,827 0.16%
Vistra Energy Corp    (COM) 47,566,000 2,980,390 0.15%
TC Pipelines LP    (UT COM LTD PRT) TCLP 47,153,000 1,715,923 0.15%
FMC Corp    (COM) FMC 47,026,000 575,656 0.15%
Mondelez International Inc    (CL A) MDLZ 45,265,000 903,839 0.15%
Target Corp    (COM) TGT 45,102,000 485,109 0.15%
International Business Machines Corp    (COM) IBM 44,642,000 402,433 0.14%
Cummins Inc    (COM) CMI 43,079,000 318,345 0.14%
McDonald's Corp    (COM) MCD 42,898,000 259,440 0.14%
VeriSign Inc    (COM) VRSN 42,497,000 235,981 0.14%
QUALCOMM Inc    (COM) QCOM 42,349,000 625,990 0.14%
Reliance Steel & Aluminum Co    (COM) RS 41,905,000 478,418 0.14%
Regeneron Pharmaceuticals Inc    (COM) REGN 41,611,000 85,215 0.13%
Magellan Midstream Partners LP    (COM UNIT RP LP) MMP 41,563,000 1,139,035 0.13%
AutoZone Inc    (COM) AZO 41,359,000 48,889 0.13%
Public Storage    (COM) PSA 41,256,000 207,725 0.13%
Kimberly-Clark Corp    (COM) KMB 40,933,000 320,117 0.13%
eBay Inc    (COM) EBAY 40,271,000 1,339,671 0.13%
Zoom Video Communications Inc    (CL A) 40,030,000 273,954 0.13%
Snap-on Inc    (COM) SNA 39,235,000 360,557 0.13%
Goldman Sachs ActiveBeta U.S. Large Cap Equity ETF    (ACTIVEBETA US LG) 38,602,000 739,643 0.12%
F5 Networks Inc    (COM) FFIV 38,311,000 359,300 0.12%
iShares MSCI EAFE ETF    (ETF) EFA 38,273,000 715,925 0.12%
Centene Corp    (COM) CNC 37,569,000 632,382 0.12%
Eli Lilly & Co    (COM) LLY 36,800,000 265,281 0.12%
Estee Lauder Cos Inc/The    (CL A) EL 36,114,000 226,648 0.12%
Avago Technologies Ltd    (COM) 35,673,000 150,456 0.11%
Hershey Co/The    (COM) HSY 35,184,000 265,541 0.11%
Pinnacle West Capital Corp    (COM) PNW 34,703,000 457,867 0.11%
iShares Core S&P Mid-Cap ETF    (ETF) IJH 34,617,000 240,630 0.11%
DaVita HealthCare Partners Inc    (COM) DVA 34,269,000 450,556 0.11%
Goldman Sachs ActiveBeta International Equity ETF    (ACTIVEBETA INT) 33,380,000 1,447,539 0.11%
Kroger Co/The    (COM) KR 32,997,000 1,095,516 0.11%
AmerisourceBergen Corp    (COM) ABC 32,568,000 368,007 0.10%
Republic Services Inc    (COM) RSG 32,475,000 432,661 0.10%
Hewlett-Packard Co    (COM) HPQ 31,639,000 1,822,476 0.10%
Laboratory Corp of America Holdings    (COM) LH 31,434,000 248,709 0.10%
Vanguard Small-Cap ETF    (ETF) VB 30,986,000 268,413 0.10%
Exelon Corp    (COM) EXC 30,974,000 841,452 0.10%
Jazz Pharmaceuticals Plc    (SHS USD) JAZZ 30,925,000 310,050 0.10%
Allstate Corp/The    (COM) ALL 30,667,000 334,318 0.10%
Sprouts Farmers Market Inc    (COM) SFM 30,423,000 1,636,545 0.10%
Accenture PLC    (SHS CLASS A) ACN 30,409,000 186,259 0.10%
Healthcare Services Group Inc    (COM) HCSG 30,283,000 1,266,561 0.10%
Southwest Airlines Co    (COM) LUV 30,005,000 842,625 0.10%
Steel Dynamics Inc    (COM) STLD 29,901,000 1,326,559 0.10%
Hormel Foods Corp    (COM) HRL 29,751,000 637,880 0.09%
Equinix Inc    (COM) EQIX 29,728,000 47,597 0.09%
Vanguard FTSE All World ex-US Small-Cap ETF    (ETF) VSS 29,622,000 378,557 0.09%
Nucor Corp    (COM) NUE 29,333,000 814,340 0.09%
WellPoint Inc    (COM) ANTM 29,168,000 128,471 0.09%
Host Hotels & Resorts Inc    (COM) HST 29,168,000 2,642,164 0.09%
Voya Financial Inc    (COM) VOYA 29,029,000 715,878 0.09%
McGraw Hill Financial Inc    (COM) SPGI 28,940,000 118,096 0.09%
AbbVie Inc    (COM) ABBV 28,738,000 377,188 0.09%
Zoetis Inc    (CL A) ZTS 28,689,000 243,763 0.09%
Quest Diagnostics Inc    (COM) DGX 28,543,000 355,459 0.09%
WestRock Co    (COM) WRK 28,499,000 1,008,468 0.09%
Fidelity National Information Services Inc    (COM) FIS 28,445,000 233,847 0.09%
L3 Harris Corp    (COM) 28,418,000 157,777 0.09%
Walgreens Boots Alliance Inc    (COM) WBA 28,201,000 616,405 0.09%
NRG Energy Inc    (COM) NRG 27,680,000 1,015,400 0.09%
Skyworks Solutions Inc    (COM) SWKS 27,605,000 308,834 0.09%
Colgate-Palmolive Co    (COM) CL 27,192,000 409,779 0.09%
Sysco Corp    (COM) SYY 26,885,000 589,184 0.09%
Xcel Energy Inc    (COM) XEL 26,837,000 445,064 0.08%
National Fuel Gas Co    (COM) NFG 26,824,000 719,313 0.08%
Lowe's Cos Inc    (COM) LOW 26,631,000 309,475 0.08%
Lam Research Corp    (COM) LRCX 26,485,000 110,354 0.08%
HCA Holdings Inc    (COM) HCA 26,383,000 293,663 0.08%
STAAR Surgical Co    (COM) STAA 26,360,000 817,123 0.08%
Monolithic Power Systems Inc    (COM) MPWR 26,277,000 156,909 0.08%
Analog Devices Inc    (COM) ADI 26,169,000 291,899 0.08%
Synchrony Financial    (COM) SYF 26,036,000 1,618,142 0.08%
PACCAR Inc    (COM) PCAR 25,944,000 424,413 0.08%
MetLife Inc    (COM) MET 25,928,000 848,126 0.08%
Allison Transmission Holdings Inc    (COM) ALSN 25,854,000 792,800 0.08%
Universal Health Services Inc    (CL B) UHS 25,670,000 259,084 0.08%
International Paper Co    (COM) IP 25,574,000 821,579 0.08%
Ally Financial Inc    (COM) ALLY 25,319,000 1,754,600 0.08%
Cognizant Technology Solutions Corp    (CL A) CTSH 24,944,000 536,799 0.08%
Ingredion Inc    (COM) INGR 24,850,000 329,150 0.08%
Old Republic International Corp    (COM) ORI 24,407,000 1,600,464 0.08%
Reinsurance Group of America Inc    (COM) RGA 24,366,000 289,608 0.08%
ONEOK Inc    (COM) OKE 24,268,000 1,112,679 0.08%
Zions Bancorporation    (COM) ZION 24,250,000 906,169 0.08%
HealthEquity Inc    (COM) HQY 24,037,000 475,147 0.08%
Best Buy Co Inc    (COM) BBY 23,530,000 412,798 0.07%
Xerox Corp    (COM) 23,236,000 1,226,791 0.07%
SPDR S&P 500 ETF Trust    (TR UNIT) SPY 23,204,000 90,025 0.07%
Fortinet Inc    (COM) FTNT 23,089,000 228,213 0.07%
Intuit Inc    (COM) INTU 23,051,000 100,219 0.07%
Prudential Financial Inc    (COM) PRU 22,912,000 439,447 0.07%
PayPal Holdings Inc    (COM) PYPL 22,851,000 238,679 0.07%
1 2 3 4 5 6 7 8 9 Next >Full Portfolio View
Total Value As 2020-03-31: 29,866,226,000 SEC FILING
* Portfolios do not reflect changes after reporting
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