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Korea Investment Corp

CIK 0001441689 · SEC 13F-HR filings · 50 holdings · Q1 2026

Holdings detail for selected institution and quarter
Issuer Ticker Shares Value (USD) Δ Shares Δ Value Type
NVIDIA CORPORATIONNVDA18,137,116$3.2B-723K$-354MShares
APPLE INCAAPL10,760,490$2.7B-397K$-302MShares
ISHARES TRIVV4,015,958$2.6B+367K$124MShares
MICROSOFT CORPMSFT5,191,867$1.9B-206K$-689MShares
AMAZON COM INCAMZN7,296,177$1.5B-55K$-177MShares
ALPHABET INCGOOGL4,242,864$1.2B-119K$-145MShares
ALPHABET INCGOOG3,658,824$1.0B-66K$-119MShares
BROADCOM INCAVGO3,296,415$1.0B-198K$-189MShares
META PLATFORMS INCMETA1,612,098$922M-80K$-195MShares
TESLA INCTSLA2,097,067$780M-33K$-178MShares
ELI LILLY & COLLY711,353$654M+10K$-100MShares
JPMORGAN CHASE & COJPM1,757,000$517M-54K$-67MShares
BERKSHIRE HATHAWAY INC DELBRKB1,041,743$499M+16K$-16MShares
EXXON MOBIL CORPXOM2,921,734$496M-178K$123MShares
JOHNSON & JOHNSONJNJ1,977,874$483M-20K$70MShares
WALMART INCWMT3,507,026$436M-226K$20MShares
NETFLIX INC.NFLX3,640,357$350M+99K$18MShares
VISA INCV1,140,167$345M-43K$-70MShares
COSTCO WHOLESALE CORPORATIONCOST331,124$330M+12K$54MShares
MICRON TECHNOLOGY INCMU850,911$287M-385K$-65MShares
CHEVRON CORPORATIONCVX1,338,342$277M-4K$72MShares
WELLS FARGO & COWFC3,477,801$277M+90K$-39MShares
ABBVIE INCABBV1,267,180$276M-249K$-71MShares
MASTERCARD INCORPORATEDMA541,997$271M-43K$-63MShares
CATERPILLAR INCCAT374,659$265M-11K$45MShares
PALANTIR TECHNOLOGIES INCPLTR1,807,716$264M+182K$-24MShares
ASTRAZENECA PLCAZN1,345,126$261MNew$261MNEW POSITIONShares
GE AEROSPACEGE875,000$248M-13K$-25MShares
ADVANCED MICRO DEVICES INCAMD1,200,228$244M-71K$-28MShares
HOME DEPOT INCHD742,349$244M-50K$-29MShares
PROCTER & GAMBLE COPG1,661,349$240M+34K$7MShares
GE VERNOVA INCGEV267,971$234MNew$234MNEW POSITIONShares
MERCK & CO INCMRK1,897,151$228M-109K$17MShares
CISCO SYS INCCSCO2,893,370$224M+15K$3MShares
COCA COLA COKO2,948,235$224M-299K$-3MShares
LAM RESEARCH CORPLRCX1,023,231$219M-38K$37MShares
APPLIED MATLS INCAMAT620,101$212M-64K$36MShares
BANK AMERICA CORPBAC4,258,298$208M-433K$-50MShares
RTX CORPORATIONRTX1,017,040$196M+11K$12MShares
LINDE PLCLIN381,256$189MNew$189MNEW POSITIONShares
PEPSICO INCPEP1,211,327$188MNew$188MNEW POSITIONShares
AMERICAN EXPRESS COAXP621,806$188MNew$188MNEW POSITIONShares
TJX COS INC NEWTJX1,174,618$188MNew$188MNEW POSITIONShares
IHS HOLDING LIMITEDIHS21,666,802$178M0$17MShares
ORACLE CORPORCL1,172,748$173M-230K$-101MShares
PHILIP MORRIS INTL INCPM1,020,505$169M-47K$-2MShares
MCDONALDS CORPMCD536,374$167M+6K$5MShares
UNITEDHEALTH GROUP INCUNH614,660$166M-34K$-48MShares
CITIGROUP INCC1,442,074$164M-175K$-25MShares
WELLTOWER INCWELL808,659$160MNew$160MNEW POSITIONShares