Ensign Peak Advisors, Inc

Holdings as of 2026-03-31, filed 2026-08-18

This is history, not a current position. These holdings describe 2026-03-31, and the report became public 140 days later. The portfolio has changed since.

Aggregates

computed from the positions below
Positions reported
1,708
Value reported by manager
$53.7B
Sum of our stored positions
$53.7B
should match the line above
Disclosure lag
140 d
quarter end to filing
Top 5 concentration
27.7%
of the positions shown
New positions
58
vs previous quarter
Exited
35
vs previous quarter
Option positions
0
puts and calls

Positions

200 largest shown
IssuerClassValueSharesTypeCUSIP
NVIDIA CORPORATIONCOM$4B23,040,56067066G104
APPLE INCCOM$3B11,717,641037833100
MICROSOFT CORPCOM$2.5B6,631,072594918104
AMAZON COM INCCOM$1.8B8,837,145023135106
ALPHABET INCCAP STK CL A$1.8B6,176,75202079K305
META PLATFORMS INCCL A$1.4B2,475,53730303M102
BROADCOM INCCOM$1.3B4,306,89111135F101
ALPHABET INCCAP STK CL C$1.3B4,440,41502079K107
JPMORGAN CHASE & COCOM$888.5M3,020,43846625H100
MASTERCARD INCORPORATEDCL A$825.4M1,651,94557636Q104
ELI LILLY & COCOM$780.2M848,203532457108
TESLA INCCOM$727.7M1,957,40588160R101
EXXON MOBIL CORPCOM$681.3M4,015,89930231G102
ORACLE CORPCOM$576.8M3,920,58468389X105
JOHNSON & JOHNSONCOM$480.5M1,965,769478160104
NEXTERA ENERGY INCCOM$435M4,683,80265339F101
BERKSHIRE HATHAWAY INC DELCL B NEW$414M863,874084670702
UNITEDHEALTH GROUP INCCOM$402.1M1,486,13191324P102
MICRON TECHNOLOGY INCCOM$384.1M1,136,835595112103
APPLIED MATLS INCCOM$383.1M1,120,721038222105
WALMART INCCOM$382.1M3,074,864931142103
CHEVRON CORPORATIONCOM$374M1,807,527166764100
BANK AMERICA CORPCOM$345.1M7,079,664060505104
PROCTER & GAMBLE COCOM$341.8M2,366,083742718109
UBER TECHNOLOGIES INCCOM$326.3M4,536,07490353T100
GILEAD SCIENCES INCCOM$325.9M2,338,222375558103
MERCK & CO INCCOM$314.3M2,613,00958933Y105
ENTERPRISE PRODS PARTNERS LCOM$314.2M8,302,325293792107
MORGAN STANLEYCOM NEW$304.6M1,850,620617446448
GE AEROSPACECOM NEW$299M1,053,643369604301
ANALOG DEVICES INCCOM$298.3M937,721032654105
HOME DEPOT INCCOM$292.8M890,348437076102
BOSTON SCIENTIFIC CORPCOM$282.8M4,507,242101137107
GOLDMAN SACHS GROUP INCCOM$280.8M331,93538141G104
WELLS FARGO & COCOM$273.7M3,437,397949746101
INTERCONTINENTAL EXCHANGE INCOM$269.8M1,715,21445866F104
ABBVIE INCCOM$266.8M1,226,87000287Y109
THERMO FISHER SCIENTIFIC INCCOM$253.9M516,570883556102
COSTCO WHOLESALE CORPORATIONCOM$251.5M252,37422160K105
CONOCOPHILLIPSCOM$249.6M1,891,02520825C104
KINDER MORGAN INC DELCOM$248.4M7,406,91949456B101
TJX COS INC NEWCOM$237.9M1,489,631872540109
GE VERNOVA INCCOM$234.4M268,51636828A101
LINDE PLCSHS$226.8M457,525G54950103
SCHWAB CHARLES CORPCOM$226.2M2,406,428808513105
SOUTHERN COCOM$217.8M2,256,022842587107
MARRIOTT INTL INC NEWCL A$216M660,365571903202
PALANTIR TECHNOLOGIES INCCL A$196.4M1,342,61469608A108
SALESFORCE INCCOM$195.9M1,049,38579466L302
KNIGHT-SWIFT TRANSN HLDGS INCL A$195M3,387,431499049104
MONDELEZ INTL INCCL A$194.9M3,380,705609207105
AT&T INCCOM$193.9M6,687,45700206R102
CME GROUP INCCOM$190M643,35312572Q105
INTUITIVE SURGICAL INCCOM NEW$189.9M411,89146120E602
FTAI AVIATION LTDSHS$189.2M772,238G3730V105
DUKE ENERGY CORP NEWCOM NEW$187.3M1,430,05026441C204
MCDONALDS CORPCOM$187.1M602,141580135101
CHENIERE ENERGY INCCOM NEW$186.1M655,94716411R208
BOEING COCOM$184.4M926,377097023105
AUTOZONE INCCOM$184.3M54,557053332102
SERVICENOW INCCOM$183.8M1,757,64881762P102
ABBOTT LABORATORIESCOM$183.2M1,784,597002824100
BRISTOL-MYERS SQUIBB COCOM$182M3,001,221110122108
SSGA ACTIVE ETF TRSTATE STREET BLA$180.4M4,493,68178467V608
CHUBB LTD SWITZCOM$177.1M543,462H1467J104
CAPITAL ONE FINL CORPCOM$176.2M965,92114040H105
INVESCO EXCH TRADED FD TR IIPURBTA MSCI US$174.7M2,680,66146138E461
STRYKER CORPORATIONCOM$174.2M530,189863667101
LAM RESEARCH CORPCOM NEW$174M814,576512807306
INVESCO EXCH TRADED FD TR IISR LN ETF$172.7M8,463,93046138G508
DISNEY WALT COCOM$171.1M1,775,372254687106
ROYAL CARIBBEAN GROUPCOM$164.3M597,058V7780T103
CATERPILLAR INCCOM$164M231,444149123101
S&P GLOBAL INCCOM$158.2M371,97978409V104
APPLOVIN CORPCOM CL A$155.5M390,58503831W108
KKR & CO INCCOM$152.5M1,648,46448251W104
CISCO SYS INCCOM$150.4M1,938,00417275R102
VERTIV HOLDINGS COCOM CL A$147.9M590,13492537N108
HONEYWELL INTL INCCOM$147.8M654,033438516106
KLA CORPCOM NEW$146.9M99,751482480100
AMERICAN EXPRESS COCOM$146.2M483,400025816109
LYONDELLBASELL INDUSTRIES NVSHS - A -$144.6M1,794,964N53745100
STATE STR SPDR S&P 500 ETF TTR UNIT$144.5M222,12378462F103
ADVANCED MICRO DEVICES INCCOM$142.5M700,245007903107
THE CIGNA GROUPCOM$140.7M527,413125523100
SHIFT4 PMTS INCCL A$135.8M3,106,44182452J109
PFIZER INCCOM$135.6M4,829,237717081103
WASTE MGMT INC DELCOM$135.3M588,66894106L109
CUMMINS INCCOM$128.5M238,868231021106
DANAHER CORP DELCOM$128.4M677,010235851102
TEXAS INSTRS INCCOM$127.9M658,926882508104
BLACKSTONE INCCOM$124.1M1,079,39109260D107
UNION PAC CORPCOM$123.4M508,572907818108
INTUITCOM$120.3M278,293461202103
OREILLY AUTOMOTIVE INCCOM$118.8M1,287,22067103H107
CITIGROUP INCCOM NEW$115.6M1,019,367172967424
E L F BEAUTY INCCOM$115.1M1,898,55526856L103
EOG RES INCCOM$114.4M791,61426875P101
FASTENAL COCOM$112.2M2,417,678311900104
COSTAR GROUP INCCOM$110.3M2,734,28922160N109
RTX CORPORATIONCOM$108.6M562,91975513E101
REPUBLIC SVCS INCCOM$107.9M492,598760759100
LAUDER ESTEE COS INCCL A$107.4M1,496,654518439104
PALO ALTO NETWORKS INCCOM$106.9M666,969697435105
KROGER COCOM$104.4M1,443,343501044101
REINSURANCE GROUP AMER INCCOM NEW$103.6M507,420759351604
BOOKING HOLDINGS INCCOM$101.6M24,12609857L108
AMPHENOL CORPCL A$101.6M803,736032095101
SEAGATE TECHNOLOGY HLDNGS PLORD SHS$100.2M255,726G7997R103
INTERACTIVE BROKERS GROUP INCOM CL A$99.1M1,477,24445841N107
APOLLO GLOBAL MGMT INCCOM$98.2M881,65703769M106
LOWES COS INCCOM$97.5M412,782548661107
CADENCE DESIGN SYSTEM INCCOM$96.8M348,283127387108
VERTEX PHARMACEUTICALS INCCOM$96.1M215,16592532F100
VANGUARD INDEX FDSS&P 500 ETF SHS$93.5M156,400922908363
INTERNATIONAL BUSINESS MACHSCOM$93.4M385,147459200101
ARISTA NETWORKS INCCOM SHS$92.1M749,786040413205
AMETEK INCCOM$90.3M421,220031100100
BLACKROCK INCCOM$89.7M93,22009290D101
CONSTELLATION ENERGY CORPCOM$89.3M319,94821037T109
VALERO ENERGY CORPCOM$86.6M350,36191913Y100
VERIZON COMMUNICATIONS INCCOM$86M1,712,74192343V104
CROWDSTRIKE HLDGS INCCL A$85.8M219,79422788C105
SHERWIN WILLIAMS COCOM$85.8M267,656824348106
INTEL CORPCOM$85.7M1,940,867458140100
VISTRA CORPCOM$85.6M569,34292840M102
MONOLITHIC PWR SYS INCCOM$85.4M78,096609839105
INGERSOLL RAND INCCOM$85.3M1,064,86045687V106
3M COCOM$85.2M586,87988579Y101
SYSCO CORPCOM$85.1M1,193,427871829107
CHURCH & DWIGHT CO INCCOM$85M911,040171340102
AMERICAN TOWER CORPCOM$83.7M485,26903027X100
DEERE & COCOM$82.8M147,000244199105
INSMED INCCOM PAR $.01$81.7M499,756457669307
PROLOGIS INC.COM$80.4M608,11774340W103
TARGA RES CORPCOM$79.8M318,21687612G101
DOMINION ENERGY INCCOM$78.2M1,264,79625746U109
EQUINIX INCCOM$78.2M79,73329444U700
LIBERTY ENERGY INCCOM CL A$77.9M2,706,07653115L104
MERCADOLIBRE INCCOM$77.7M44,93158733R102
HOWMET AEROSPACE INCCOM$76.1M330,059443201108
DATADOG INCCL A COM$75.8M642,06023804L103
QUALCOMM INCCOM$75.7M587,999747525103
ISHARES TRMSCI EAFE ETF$75.6M778,595464287465
AMGEN INCCOM$75.4M214,379031162100
ASML HLDG NVN Y REGISTRY SHS$75.2M56,947N07059210
EATON CORP PLCSHS$73.5M205,518G29183103
COLGATE PALMOLIVE COCOM$73.4M861,712194162103
AON PLCSHS CL A$72M223,178G0403H108
CARRIER GLOBAL CORPORATIONCOM$70.4M1,250,38514448C104
ABIVAX SASPONSORED ADS$70.4M631,83800370M103
PG&E CORPCOM$70.1M3,992,30569331C108
MONGODB INCCL A$67.7M276,55960937P106
SEMPRACOM$66.5M684,502816851109
ISHARES TRMSCI INDIA ETF$66.4M1,417,70846429B598
MCKESSON CORPCOM$64.9M74,96758155Q103
SIMON PPTY GROUP INC NEWCOM$63.8M342,012828806109
BRIDGEBIO PHARMA INCCOM$62.1M836,55210806X102
TELEDYNE TECHNOLOGIES INCCOM$61.8M102,066879360105
BLACKSTONE SECD LENDING FDCOMMON STOCK$61.6M2,602,11509261X102
ACCENTURE PLC IRELANDSHS CLASS A$61.5M310,395G1151C101
WELLTOWER INCCOM$61.1M308,89495040Q104
NIKE INCCL B$60M1,136,305654106103
BAKER HUGHES COMPANYCL A$59.8M979,36505722G100
NEWMONT CORPCOM$59.3M548,211651639106
HALLIBURTON COCOM$58.1M1,490,746406216101
TYSON FOODS INCCL A$58.1M906,754902494103
METTLER TOLEDO INTERNATIONALCOM$57.6M45,682592688105
CORNING INCCOM$57.4M421,979219350105
FREEPORT MCMORAN INCCL B$54.6M928,91235671D857
PROGRESSIVE CORPCOM$54.3M273,686743315103
ESSENTIAL UTILS INCCOM$54.2M1,347,11429670G102
ISHARES TRS&P 100 ETF$54.2M170,477464287101
JFROG LTDORD SHS$53.7M1,145,112M6191J100
SNOWFLAKE INCCOM SHS$53.3M353,392833445109
GATX CORPCOM$53.3M311,956361448103
CVS HEALTH CORPCOM$53M738,180126650100
ARGENX SESPONSORED ADR$52.3M71,59804016X101
CIENA CORPCOM NEW$52.2M134,483171779309
CBRE GROUP INCCL A$52M383,93512504L109
CARDINAL HEALTH INCCOM$51.8M245,31714149Y108
OKTA INCCL A$51.7M656,942679295105
HCA HEALTHCARE INCCOM$51.3M108,34240412C101
INVESCO QQQ TRUNIT SER 1$50.4M87,36946090E103
CRH PLCORD$49.6M471,939G25508105
COMCAST CORP NEWCL A$49.3M1,718,19620030N101
SHOPIFY INCCL A SUB VTG SHS$48.2M406,66982509L107
SPOTIFY TECHNOLOGY S ASHS$48.2M99,298L8681T102
WESTERN DIGITAL CORPCOM$48.1M177,891958102105
WABTECCOM$47.9M191,653929740108
JONES LANG LASALLE INCCOM$47.7M156,72348020Q107
LUMENTUM HLDGS INCCOM$45.9M65,27355024U109
ATLASSIAN CORPORATIONCL A$45.6M667,517049468101
CROWN CASTLE INCCOM$45.1M554,86622822V101
ROYALTY PHARMA PLCSHS CLASS A$44.7M932,650G7709Q104
TORO COCOM$44.4M475,460891092108
ECOLAB INCCOM$43.4M163,094278865100
AMERICAN ELEC PWR CO INCCOM$43.3M330,364025537101
WASTE CONNECTIONS INCCOM$43.1M265,22694106B101
FERGUSON ENTERPRISES INCCOMMON STOCK NEW$42.8M183,31431488V107
Values are shown exactly as filed. Before 2023 managers reported in thousands of dollars and afterwards in whole dollars; the reporting unit is not always determinable from the document, so nothing is converted automatically.

Source: U.S. Securities and Exchange Commission, Form 13F · as of 2026-08-18