BMCCX Holdings — BlackRock Advantage Large Cap Growth Fund

All 159 reported holdings of BlackRock Advantage Large Cap Growth Fund (BMCCX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp.9.22%$176.85M
Apple, Inc.7.27%$139.48M
Microsoft Corp.6.60%$126.61M
Broadcom, Inc.5.79%$111.19M
Amazon.com, Inc.4.79%$91.85M
Alphabet, Inc.3.97%$76.24M
Meta Platforms, Inc.3.95%$75.87M
Tesla, Inc.3.08%$59.04M
Advanced Micro Devices, Inc.2.99%$57.33M
Alphabet, Inc.2.92%$56.07M
Eli Lilly & Company2.65%$50.81M
Oracle Corp.2.39%$45.89M
Netflix, Inc.1.80%$34.55M
Costco Wholesale Corp.1.78%$34.14M
Visa, Inc.1.64%$31.45M
Lam Research Corp.1.35%$25.87M
Abbvie, Inc.1.30%$24.96M
Palantir Technologies, Inc.1.28%$24.63M
Mastercard, Inc.1.23%$23.63M
Blackrock Liquidity Funds1.11%$21.32M
Dell Technologies, Inc.1.11%$21.31M
Ge Aerospace1.06%$20.34M
Applied Materials, Inc.0.96%$18.46M
Ge Vernova, Inc.0.85%$16.32M
Berkshire Hathaway, Inc.0.83%$15.86M
Spotify Technology SA0.82%$15.72M
Amphenol Corp.0.75%$14.37M
Netapp, Inc.0.72%$13.86M
Palo Alto Networks, Inc.0.70%$13.46M
Tjx Companies, Inc. (the)0.64%$12.32M
Intel Corp.0.62%$11.83M
Crowdstrike Holdings, Inc.0.61%$11.79M
Kla Corp.0.60%$11.58M
Analog Devices, Inc.0.60%$11.43M
Coca-Cola Company (the)0.59%$11.25M
Intuitive Surgical, Inc.0.56%$10.76M
Texas Instruments, Inc.0.51%$9.84M
International Business Machines Corp.0.50%$9.64M
Adobe, Inc.0.50%$9.52M
Mckesson Corp.0.49%$9.42M
3m Company0.48%$9.29M
Home Depot, Inc. (the)0.48%$9.20M
Morgan Stanley0.47%$9.06M
Booking Holdings, Inc.0.47%$8.95M
Mercadolibre, Inc.0.45%$8.56M
Arista Networks, Inc.0.44%$8.43M
Vertex Pharmaceuticals, Inc.0.43%$8.28M
Amgen, Inc.0.41%$7.94M
Keysight Technologies, Inc.0.40%$7.72M
Republic Services, Inc.0.39%$7.54M
Lockheed Martin Corp.0.38%$7.27M
Trane Technologies PLC0.38%$7.24M
Everpure, Inc.0.37%$7.19M
Fortinet, Inc.0.37%$7.07M
Procter & Gamble Company (the)0.35%$6.63M
Parker-Hannifin Corp.0.35%$6.62M
O'reilly Automotive, Inc.0.34%$6.57M
Microchip Technology, Inc.0.34%$6.55M
Cadence Design Systems, Inc.0.34%$6.49M
American Express Company0.32%$6.12M
Seagate Technology Holdings PLC0.31%$5.93M
Motorola Solutions, Inc.0.31%$5.89M
Caterpillar, Inc.0.30%$5.84M
Waste Management, Inc.0.30%$5.67M
Rockwell Automation, Inc.0.29%$5.57M
Uber Technologies, Inc.0.28%$5.45M
Hewlett Packard Enterprise Company0.28%$5.40M
Cintas Corp.0.28%$5.34M
Illinois Tool Works, Inc.0.27%$5.11M
Bank Of America Corp.0.27%$5.10M
Rtx Corp.0.26%$5.02M
Marvell Technology, Inc.0.26%$4.90M
Autodesk, Inc.0.25%$4.75M
Hp, Inc.0.25%$4.72M
Cheniere Energy, Inc.0.24%$4.55M
Anthropic Pbc0.24%$4.53M
Coupang, Inc.0.22%$4.26M
Airbnb, Inc.0.22%$4.21M
Synopsys, Inc.0.22%$4.14M
Jabil, Inc.0.21%$4.08M
Brookfield Asset Management Ltd.0.20%$3.89M
Chipotle Mexican Grill, Inc.0.19%$3.74M
Nxp Semiconductors NV0.18%$3.41M
Johnson & Johnson0.18%$3.41M
Applovin Corp.0.17%$3.22M
Cardinal Health, Inc.0.16%$3.01M
Super Micro Computer, Inc.0.14%$2.71M
Tg Therapeutics, Inc.0.14%$2.66M
Servicenow, Inc.0.13%$2.53M
Markel Group, Inc.0.13%$2.51M
Astera Labs, Inc.0.13%$2.50M
Neurocrine Biosciences, Inc.0.13%$2.49M
Intuit, Inc.0.13%$2.45M
Chevron Corp.0.13%$2.45M
Heico Corp.0.13%$2.44M
Charles Schwab Corp. (the)0.13%$2.40M
Emerson Electric Company0.11%$2.20M
Citigroup, Inc.0.11%$2.19M
Waste Connections, Inc.0.11%$2.08M
T-Mobile US, Inc.0.10%$1.98M
Howmet Aerospace, Inc.0.09%$1.77M
Hca Healthcare, Inc.0.09%$1.75M
Appfolio, Inc.0.09%$1.68M
Boston Scientific Corp.0.09%$1.67M
General Dynamics Corp.0.09%$1.66M
Te Connectivity PLC0.08%$1.58M
Blackrock Funds Iii0.08%$1.49M
Doordash, Inc.0.08%$1.47M
Dynatrace, Inc.0.08%$1.47M
Alnylam Pharmaceuticals, Inc.0.08%$1.46M
Gilead Sciences, Inc.0.07%$1.44M
Sentinelone, Inc.0.07%$1.44M
Datadog, Inc.0.07%$1.39M
Goldman Sachs Group, Inc. (the)0.07%$1.38M
Natera, Inc.0.07%$1.37M
Manhattan Associates, Inc.0.07%$1.31M
Freeport-Mcmoran, Inc.0.07%$1.30M
United Therapeutics Corp.0.07%$1.26M
Globalfoundries, Inc.0.06%$1.14M
Jacobs Solutions, Inc.0.06%$1.13M
Nu Holdings Ltd.0.06%$1.13M
Check Point Software Technologies Ltd.0.06%$1.12M
First Solar, Inc.0.06%$1.09M
Cisco Systems, Inc.0.06%$1.06M
Qualcomm, Inc.0.05%$1.05M
Interdigital, Inc.0.05%$1.04M
Electronic Arts, Inc.0.05%$988.83K
Mastec, Inc.0.05%$948.20K
Trimble, Inc.0.05%$934.49K
Qorvo, Inc.0.04%$856.86K
Emcor Group, Inc.0.04%$848.32K
Monolithic Power Systems, Inc.0.04%$816.00K
Cerebras Systems, Inc.0.04%$815.72K
Coherent Corp.0.04%$799.93K
Avnet, Inc.0.04%$781.50K
Micron Technology, Inc.0.04%$766.12K
Abbott Laboratories0.04%$753.11K
Biomarin Pharmaceutical, Inc.0.04%$684.90K
Phillips 660.04%$672.57K
W.w. Grainger, Inc.0.03%$645.51K
Stryker Corp.0.03%$638.25K
Freedom Pay, Inc.0.03%$614.77K
Chicago Mercantile Exchange0.03%$597.69K
Exxon Mobil Corp.0.03%$597.16K
Wells Fargo & Company0.03%$595.89K
Southwest Airlines Company0.03%$548.64K
Ferrovial NV0.03%$548.09K
Cloudflare, Inc.0.03%$532.00K
Ecolab, Inc.0.03%$509.70K
Kbr, Inc.0.02%$470.25K
Applied Industrial Technologies, Inc.0.02%$468.48K
Ringcentral, Inc.0.02%$440.38K
Ss&c Technologies Holdings, Inc.0.02%$416.19K
Vertiv Holdings Company0.02%$378.85K
Jp Morgan Chase & Company0.02%$376.83K
Asml Holding NV0.02%$366.10K
Newmont Corp.0.01%$243.23K
Western Digital Corp.0.01%$194.42K
Cabot Corp.0.00%$88

BMCCX overview: performance, fees, allocation and SEC filings