C000025010 Holdings — EQ/JPMorgan Growth Stock Portfolio

All 78 reported holdings of EQ/JPMorgan Growth Stock Portfolio (C000025010) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp.10.15%$311.66M
Alphabet, Inc.9.83%$301.85M
Apple, Inc.5.49%$168.74M
Broadcom, Inc.3.66%$112.29M
Advanced Micro Devices, Inc.3.61%$110.83M
Tesla, Inc.2.82%$86.71M
Micron Technology, Inc.2.73%$83.81M
GE Vernova, Inc.2.49%$76.44M
Lam Research Corp.2.36%$72.35M
Sandisk Corp.2.32%$71.36M
Goldman Sachs Group, Inc. (The)2.18%$66.93M
Western Digital Corp.2.00%$61.39M
Caterpillar, Inc.1.97%$60.43M
Eli Lilly & Co.1.91%$58.74M
GE Aerospace1.90%$58.33M
Corning, Inc.1.74%$53.50M
Ciena Corp.1.74%$53.48M
Meta Platforms, Inc.1.68%$51.71M
Taiwan Semiconductor Manufacturing Co. Ltd.1.63%$50.21M
Texas Instruments, Inc.1.42%$43.71M
Johnson & Johnson1.41%$43.45M
Dell Technologies, Inc.1.39%$42.54M
Philip Morris International, Inc.1.31%$40.26M
Microsoft Corp.1.23%$37.92M
Natera, Inc.1.22%$37.42M
Walmart, Inc.1.10%$33.79M
Exxon Mobil Corp.1.04%$31.91M
Mastercard, Inc.1.01%$30.97M
Amazon.com, Inc.1.00%$30.84M
Monster Beverage Corp.0.98%$30.24M
Quanta Services, Inc.0.92%$28.35M
Palo Alto Networks, Inc.0.87%$26.84M
Applied Materials, Inc.0.82%$25.21M
Coca-Cola Co. (The)0.79%$24.18M
Lumentum Holdings, Inc.0.78%$23.85M
Crowdstrike Holdings, Inc.0.77%$23.79M
Analog Devices, Inc.0.77%$23.77M
Amphenol Corp.0.74%$22.75M
Deere & Co.0.71%$21.68M
Merck & Co., Inc.0.70%$21.55M
RTX Corp.0.69%$21.07M
Gilead Sciences, Inc.0.68%$20.93M
Union Pacific Corp.0.66%$20.24M
3M Co.0.63%$19.27M
Vertiv Holdings Co.0.62%$19.12M
Cisco Systems, Inc.0.61%$18.60M
Bloom Energy Corp.0.60%$18.48M
McDonald's Corp.0.58%$17.91M
Freeport-McMoRan, Inc.0.58%$17.79M
Marvell Technology, Inc.0.57%$17.45M
Twilio, Inc.0.55%$17.01M
Berkshire Hathaway, Inc.0.50%$15.23M
Celestica, Inc.0.44%$13.62M
DigitalOcean Holdings, Inc.0.43%$13.22M
Rocket Lab Corp.0.36%$10.92M
Charles Schwab Corp. (The)0.31%$9.55M
Insmed, Inc.0.24%$7.50M
International Business Machines Corp.0.21%$6.37M
Amgen, Inc.0.18%$5.58M
Revolution Medicines, Inc.0.18%$5.53M
Procter & Gamble Co. (The)0.18%$5.38M
Space Exploration Technologies Corp.0.15%$4.65M
AppLovin Corp.0.12%$3.62M
Oracle Corp.0.12%$3.60M
AutoZone, Inc.0.10%$3.22M
Carvana Co.0.09%$2.91M
McKesson Corp.0.07%$2.21M
Snowflake, Inc.0.07%$2.20M
Visa, Inc.0.06%$1.80M
Hims & Hers Health, Inc.0.06%$1.70M
Alnylam Pharmaceuticals, Inc.0.05%$1.60M
Bristol-Myers Squibb Co.0.05%$1.56M
Cerebras Systems, Inc.0.04%$1.35M
DoorDash, Inc.0.04%$1.14M
Netflix, Inc.0.03%$1.04M
Palantir Technologies, Inc.0.03%$1.04M
Cloudflare, Inc.0.01%$393.67K
ROBLOX Corp.0.01%$216.43K

C000025010 overview: performance, fees, allocation and SEC filings