StockDuty ← Dashboard Aug 15, 2026 02:38 AM ET
SignalCorporate

📊 KIC 13F — Korea Investment CORP: $52.7B portfolio, 677 positions (Q2 2026)

1. NVDA — $3.3B (6.2%) 2. IVV — $3.2B (6.2%) 3. AAPL — $3.0B (5.7%) 4. MSFT — $1.9B (3.6%) 5. AMZN — $1.7B (3.2%) 6. GOOGL — $1.5B (2.8%) 7. AVGO — $1.2B (2.3%) 8. GOOG — $1.2B (2.2%) 9. MU — $946M (1.8%) 10. META — $883M (1.7%) 11. TSLA — $836M (1.6%) 12. LLY — $790M (1.5%) 13. AMD — $672M (1.3%) 14. JPM — $535M (1.0%) 15. JNJ — $470M (0.9%) 16. BRK/B — $461M (0.9%) 17. INTC — $435M (0.8%) 18. AMAT — $420M (0.8%) 19. WMT — $410M (0.8%) 20. LRCX — $395M (0.7%) … (+657 more)
1. NVDA — $3.3B (6.2%)
Sources