C000005171 Holdings — BlackRock Advantage Large Cap Core Fund

All 90 reported holdings of BlackRock Advantage Large Cap Core Fund (C000005171) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp.7.51%$292.93M
Apple, Inc.7.01%$273.64M
Microsoft Corp.5.15%$201.10M
Amazon.com, Inc.4.43%$172.89M
Broadcom, Inc.3.50%$136.44M
Alphabet, Inc.3.45%$134.76M
Alphabet, Inc.2.51%$97.87M
Meta Platforms, Inc.2.12%$82.86M
Micron Technology, Inc.2.11%$82.25M
Jp Morgan Chase & Company1.90%$74.06M
Morgan Stanley1.83%$71.37M
Bank Of America Corp.1.75%$68.20M
Procter & Gamble Company (the)1.67%$65.13M
Applied Materials, Inc.1.65%$64.51M
Chevron Corp.1.63%$63.55M
Tesla, Inc.1.62%$63.23M
3m Company1.56%$60.76M
Lam Research Corp.1.49%$58.31M
Costco Wholesale Corp.1.44%$56.33M
Berkshire Hathaway, Inc.1.44%$56.17M
Advanced Micro Devices, Inc.1.39%$54.29M
Phillips 661.35%$52.78M
Exxon Mobil Corp.1.35%$52.70M
Parker-Hannifin Corp.1.20%$46.97M
Rtx Corp.1.19%$46.37M
Caterpillar, Inc.1.17%$45.71M
Eli Lilly & Company1.14%$44.61M
Pfizer, Inc.1.13%$43.92M
Bristol-Myers Squibb Company1.12%$43.71M
Abbott Laboratories1.04%$40.65M
Chipotle Mexican Grill, Inc.1.00%$39.06M
Booking Holdings, Inc.0.99%$38.77M
Visa, Inc.0.96%$37.46M
Tjx Companies, Inc. (the)0.94%$36.68M
Freeport-Mcmoran, Inc.0.94%$36.56M
Unitedhealth Group, Inc.0.92%$36.06M
Lockheed Martin Corp.0.91%$35.62M
Palantir Technologies, Inc.0.90%$35.24M
Travelers Companies, Inc. (the)0.86%$33.56M
Abbvie, Inc.0.83%$32.54M
Charles Schwab Corp. (the)0.83%$32.21M
Cardinal Health, Inc.0.79%$30.88M
Amphenol Corp.0.79%$30.81M
Intel Corp.0.75%$29.35M
Blackrock Liquidity Funds0.73%$28.54M
Cisco Systems, Inc.0.73%$28.41M
Ge Aerospace0.71%$27.87M
Borgwarner, Inc.0.69%$26.98M
Comcast Corp.0.61%$23.71M
Motorola Solutions, Inc.0.61%$23.63M
Toll Brothers, Inc.0.59%$22.87M
Vertex Pharmaceuticals, Inc.0.58%$22.79M
Intercontinental Exchange, Inc.0.58%$22.77M
Wells Fargo & Company0.58%$22.53M
T-Mobile US, Inc.0.57%$22.11M
Servicenow, Inc.0.55%$21.57M
International Paper Company0.54%$21.03M
Walmart, Inc.0.53%$20.58M
Cintas Corp.0.52%$20.38M
Sandisk Corp.0.52%$20.23M
Spotify Technology SA0.49%$19.30M
Regeneron Pharmaceuticals, Inc.0.48%$18.88M
Cme Group, Inc.0.48%$18.81M
Boston Scientific Corp.0.48%$18.65M
Trane Technologies PLC0.47%$18.43M
Mastercard, Inc.0.44%$17.19M
Western Digital Corp.0.44%$17.15M
Alcoa Corp.0.43%$16.70M
Portland General Electric Company0.42%$16.43M
Qualcomm, Inc.0.41%$16.14M
Ametek, Inc.0.39%$15.20M
Atlassian Corp.0.38%$14.88M
Mastec, Inc.0.38%$14.85M
Elastic NV0.37%$14.37M
Garmin Ltd.0.37%$14.28M
Natera, Inc.0.37%$14.27M
Lumentum Holdings, Inc.0.36%$13.94M
Simon Property Group, Inc.0.35%$13.77M
Mueller Industries, Inc.0.33%$13.01M
Lithia Motors, Inc.0.33%$12.92M
Check Point Software Technologies Ltd.0.31%$12.29M
Citigroup, Inc.0.31%$12.13M
Comfort Systems USA, Inc.0.31%$12.05M
Trade Desk, Inc. (the)0.29%$11.34M
Salesforce, Inc.0.28%$11.08M
Anthropic Pbc0.24%$9.38M
Chicago Mercantile Exchange0.11%$4.40M
Blackrock Funds Iii0.05%$1.91M
Cerebras Systems, Inc.0.04%$1.68M
Rlj Lodging Trust0.00%$496

C000005171 overview: performance, fees, allocation and SEC filings