Now live: Pro — the full 13F research suite for serious investorsSee pricing →
← Tracker

Institutional

HOWARD HUGHES MEDICAL INSTITUTE

CIK 0000810386
$415.8M
Reported AUM
31
Positions
Q1 2026
Period
2026-05-15
Filed

The Brief · HOWARD HUGHES MEDICAL INSTITUTE · Q1 2026

AI · grounded in 13F

HOWARD HUGHES MEDICAL INSTITUTE established a new position in TSM valued at $22.57M. The fund significantly accumulated shares in GOOGL, AAPL, and MSFT. Conversely, it closed positions in GOOG, BRK/B, and JPM.

Portfolio · Q1 2026

SPY$57.4MNVDA$56.2MAAPL$50.4MGOOGL$41.3MMSFT$37.9MAMZN$27.7MTSM$22.6MAVGOMETATSLAOther$56.6MHI

Top holdings

#StockIssuerPriceDay %1Y Gr.5Y Gr.Value% of bookΔ shares (QoQ)Status
1SPYSTATE STR SPDR S&P 500 ETF T$729.46-1.54%20.48%75.54%$57.4M13.79%HELD
2NVDANVIDIA CORPORATION$190.01-3.55%13.56%782.99%$56.2M13.51%HELD
3AAPLAPPLE INC$338.19-0.56%67.77%128.17%$50.4M12.13%HELD
4GOOGLALPHABET INC$336.710.90%76.51%132.04%$41.3M9.94%HELD
5MSFTMICROSOFT CORP$390.54-0.71%-24.89%34.54%$37.9M9.11%HELD
6AMZNAMAZON COM INC$226.65-1.82%5.54%30.60%$27.7M6.66%HELD
7TSMTAIWAN SEMICONDUCTOR MANUFAC$374.67-4.50%61.05%241.53%$22.6M5.43%HELD
8AVGOBROADCOM INC$370.32-2.78%31.81%734.42%$20.1M4.84%HELD
9METAMETA PLATFORMS INC$585.61-1.31%-20.62%57.79%$17.6M4.24%HELD
10TSLATESLA INC$298.32-2.97%1.59%25.36%$15.3M3.68%HELD
11ASMLASML HLDG NV$1550.69-2.04%130.99%99.17%$7.1M1.72%HELD
12NFLXNETFLIX INC.$73.631.71%-36.45%29.36%$5.6M1.36%HELD
13MUMICRON TECHNOLOGY INC$739.00-9.94%683.61%1041.72%$5.3M1.28%HELD
14AMDADVANCED MICRO DEVICES INC$429.56-5.51%153.16%292.58%$4.6M1.11%HELD
15PLTRPALANTIR TECHNOLOGIES INC$123.00-0.43%-19.93%368.98%$4.5M1.08%HELD
16CSCOCISCO SYS INC$112.48-2.68%75.85%125.29%$3.9M0.94%HELD
17AMATAPPLIED MATLS INC$436.45-8.40%152.89%248.14%$3.8M0.90%HELD
18LRCXLAM RESEARCH CORP$252.35-6.40%181.31%369.59%$3.7M0.89%HELD
19ORCLORACLE CORP$117.74-1.85%-50.36%43.97%$3.5M0.84%HELD
20IBMINTERNATIONAL BUSINESS MACHS$226.44-0.49%-6.67%103.90%$3.2M0.76%HELD
21KLACKLA CORP$170.19-10.80%93.19%424.97%$2.7M0.65%HELD
22SAPSAP SE$185.993.81%-33.14%34.75%$2.5M0.61%HELD
23INTCINTEL CORP$81.88-5.12%324.03%64.44%$2.5M0.61%HELD
24TXNTEXAS INSTRS INC$271.30-2.08%53.11%62.90%$2.5M0.59%HELD
25DISDISNEY WALT CO$98.48-0.41%-14.31%-43.98%$2.4M0.57%HELD
26CRMSALESFORCE INC$188.383.79%-23.90%-27.44%$2.4M0.57%HELD
27UBERUBER TECHNOLOGIES INC$71.200.65%-19.24%79.33%$2.1M0.50%HELD
28QCOMQUALCOMM INC$155.68-4.42%7.27%18.23%$1.9M0.46%HELD
29BKNGBOOKING HOLDINGS INC$201.301.00%-6.71%121.27%$1.9M0.45%HELD
30ACNACCENTURE PLC IRELAND$173.175.17%-31.00%-44.27%$1.7M0.41%HELD
31INTUINTUIT$333.136.43%$1.6M0.39%HELD

Source: SEC EDGAR · accession 0001193125-26-225362. 13F discloses long positions only — shorts, foreign equities, and options are excluded.