HOWARD HUGHES MEDICAL INSTITUTE

Institutional InvestorSimilar funds →SEC EDGAR: CIK 810386
Institutional-grade research for retail investors

13F Reported Value

$415.8M

Holdings

31

Latest Filing

2026-03-31

Filing Quarter

Q1 2026

Portfolio Overview

HOWARD HUGHES MEDICAL INSTITUTE disclosed 31 positions worth $415.8M in its Form 13F-HR for Q1 2026, led by $SPY (SPDR S&P 500 ETF TRUST) at 13.8% of the equity portfolio, followed by $NVDA and $AAPL. During the quarter the fund opened 3 new positions and exited 471 — including a new stake in $TSM and a full exit from $BRK-A. The portfolio is most concentrated in Technology (69.7% of disclosed assets). All figures are sourced directly from HOWARD HUGHES MEDICAL INSTITUTE’s Form 13F-HR filing with the SEC under CIK 810386.

Sector Allocation

TechnologyOtherIndustrialsConsumer DiscretionaryCommunication Services

AUM History

Top Equity Holdings by Value

Quarterly Activity — Q1 2026

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Top Holdings

AI Quality Scored

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32-signal composite ranking on each of HOWARD HUGHES MEDICAL INSTITUTE's 31 positions.

Showing top 10 of 31 holdings.

Sector Allocation

Technology

$289.9M

Other

$57.4M

Industrials

$31.0M

Consumer Discretionary

$29.5M

Communication Services

$8.0M

Full Holdings — HOWARD HUGHES MEDICAL INSTITUTE (Q1 2026)

All 31 disclosed positions from the latest Form 13F-HR, with quarter-over-quarter share changes and 13F Pro quality scores. Sourced from SEC EDGAR.

#TickerCompanyValueWeightQoQQuality
1SPY$SPYSPDR S&P 500 ETF TRUST$57.4M13.8%-63%
2NVDA$NVDANVIDIA CORP$56.2M13.5%+6069%90.2
3AAPL$AAPLApple Inc.$50.4M12.1%+6142%76.1
4GOOG$GOOGAlphabet Inc.$41.3M9.9%NEW80.2
5MSFT$MSFTMICROSOFT CORP$37.9M9.1%+6295%83.7
6AMZN$AMZNAMAZON COM INC$27.7M6.7%+6248%74.6
7TSM$TSMTAIWAN SEMICONDUCTOR MANUFACTURING CO LTD$22.6M5.4%NEW
8AVGO$AVGOBroadcom Inc.$20.1M4.8%+6300%86.4
9META$METAMeta Platforms, Inc.$17.6M4.2%+6464%80.9
10TSLA$TSLATesla, Inc.$15.3M3.7%+6729%50.1
11ASML$ASMLASML HOLDING NV$7.1M1.7%NEW
12NFLX$NFLXNETFLIX INC$5.6M1.4%+6326%86.7
13MU$MUMICRON TECHNOLOGY INC$5.3M1.3%+6416%88.4
14AMD$AMDADVANCED MICRO DEVICES INC$4.6M1.1%+6364%78.8
15PLTR$PLTRPalantir Technologies Inc.$4.5M1.1%+6177%85.8
16CSCO$CSCOCISCO SYSTEMS, INC.$3.9M0.9%+5821%72.3
17AMAT$AMATAPPLIED MATERIALS INC /DE$3.8M0.9%+6286%74.8
18LRCX$LRCXLAM RESEARCH CORP$3.7M0.9%+6343%82.4
19ORCL$ORCLORACLE CORP$3.5M0.8%+6525%67.2
20IBM$IBMINTERNATIONAL BUSINESS MACHINES CORP$3.2M0.8%+6379%66.7
21KLAC$KLACKLA CORP$2.7M0.7%+6418%84.4
22SAP$SAPSAP SE$2.5M0.6%NEW
23INTC$INTCINTEL CORP$2.5M0.6%+5821%41.5
24TXN$TXNTEXAS INSTRUMENTS INC$2.5M0.6%+6352%70.4
25DIS$DISWalt Disney Co$2.4M0.6%+6305%68.9
26CRM$CRMSalesforce, Inc.$2.4M0.6%+6052%75.2
27UBER$UBERUber Technologies, Inc$2.1M0.5%+6364%79.3
28QCOM$QCOMQUALCOMM INC/DE$1.9M0.5%+6296%81.9
29BKNG$BKNGBooking Holdings Inc.$1.9M0.5%+6243%55.3
30ACN$ACNAccenture plc$1.7M0.4%+6323%
31INTU$INTUINTUIT INC.$1.6M0.4%+6223%82

New Positions (3)

TSM$TSM TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD$22.6M
ASML$ASML ASML HOLDING NV$7.1M
SAP$SAP SAP SE$2.5M

Exited Positions (471)

BRK-A$BRK-A BERKSHIRE HATHAWAY INC
JPM$JPM JPMORGAN CHASE & CO
LLY$LLY ELI LILLY & Co
V$V VISA INC.
XOM$XOM EXXON MOBIL CORP
JNJ$JNJ JOHNSON & JOHNSON
WMT$WMT Walmart Inc.
MA$MA Mastercard Inc
ABBV$ABBV AbbVie Inc.
COST$COST COSTCO WHOLESALE CORP /NEW
BAC$BAC BANK OF AMERICA CORP /DE/
HD$HD HOME DEPOT, INC.
PG$PG PROCTER & GAMBLE Co
GE$GE GENERAL ELECTRIC CO
UNH$UNH UNITEDHEALTH GROUP INC

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