PRILX
Parnassus Core Equity Fund
Parnassus Funds II

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
38
Top-10 weight
45.09%
Effective holdings ?
30
Crowding ?
1720.5

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 ALPHABET INC CL A 4,847,293 $1.39B 6.21%
2 NVIDIA CORP 7,920,139 $1.38B 6.16%
3 MICROSOFT CORP 3,323,866 $1.23B 5.48%
4 AMAZON.COM INC 5,731,957 $1.19B 5.32%
5 APPLE INC 3,937,190 $999.22M 4.45%
6 WASTE MANAGEMENT INC 3,896,472 $895.37M 3.99%
7 DEERE & CO 1,419,209 $799.44M 3.56%
8 APPLIED MATERIALS INC 2,240,279 $765.70M 3.41%
9 LILLY ELI and CO 789,159 $725.84M 3.24%
10 REALTY INCOME CORP REIT 11,301,260 $691.41M 3.08%
11 INTERCONTINENTAL EXCHANGE INC 4,245,592 $667.75M 2.98%
12 DANAHER CORP 3,346,902 $634.57M 2.83%
13 LINDE PLC 1,259,018 $624.17M 2.78%
14 MASTERCARD INC CL A 1,221,231 $610.20M 2.72%
15 KLA CORP 410,162 $603.93M 2.69%
16 WW GRAINGER INC 531,793 $580.09M 2.59%
17 COSTCO WHOLESALE CORP 571,935 $569.89M 2.54%
18 AUTOZONE INC 165,040 $557.47M 2.49%
19 BROADCOM INC 1,764,785 $546.22M 2.43%
20 THERMO FISHER SCIENTIFIC INC 1,098,544 $539.97M 2.41%
21 BANK OF AMERICA CORPORATION 10,422,673 $508.11M 2.27%
22 STRYKER CORP 1,494,916 $491.21M 2.19%
23 S&P GLOBAL INC 1,120,781 $476.71M 2.13%
24 HOME DEPOT INC 1,378,903 $453.51M 2.02%
25 FERGUSON ENTERPRISES INC 1,909,138 $445.33M 1.99%
26 SYNOPSYS INC 1,113,813 $441.60M 1.97%
27 MARRIOTT INTL-A 1,347,495 $440.73M 1.96%
28 ADV MICRO DEVICE 1,974,770 $401.73M 1.79%
29 BOSTON SCIENTIFIC CORP 6,156,199 $386.30M 1.72%
30 MARSH & MCLENNAN 1,874,922 $325.21M 1.45%
31 PROCTER & GAMBLE 2,247,945 $324.69M 1.45%
32 SALESFORCE INC 1,633,379 $304.90M 1.36%
33 SHERWIN WILLIAMS CO 870,057 $278.90M 1.24%
34 OLD DOMINION FRT 1,310,421 $256.06M 1.14%
35 VULCAN MATERIALS CO 927,036 $252.43M 1.13%
36 VERISK ANALYTICS INC 1,300,172 $246.71M 1.10%
37 ORACLE CORP 1,594,979 $234.64M 1.05%
38 BROWN & BROWN 1,076,435 $70.19M 0.31%

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