Fund Holdings As of 06/30/2021 Massmutual Blue Chip Growth Fund T
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Fund Holdings As of 06/30/2021 MassMutual Blue Chip Growth Fund T. Rowe Price | Loomis Sayles Prior to 5/1/2021, the Fund name was MassMutual Select Blue Chip Growth Fund. Fund Shares or Par Position Market Security Name Ticker CUSIP Weighting (%) Amount Value ($) Amazon.com Inc AMZN 023135106 9.19 121,040 416,396,966 Facebook Inc Class A FB 30303M102 7.08 922,947 320,917,901 Alphabet Inc Class C GOOG 02079K107 5.35 96,724 242,421,296 Microsoft Corp MSFT 594918104 5.19 868,620 235,309,158 Visa Inc Class A V 92826C839 4.20 814,608 190,471,643 NVIDIA Corp NVDA 67066G104 3.69 208,867 167,114,487 Salesforce.com Inc CRM 79466L302 2.63 487,958 119,193,501 Alphabet Inc Class A GOOGL 02079K305 2.48 45,998 112,317,456 Apple Inc AAPL 037833100 2.45 810,745 111,039,635 Alibaba Group Holding Ltd ADR BABA 01609W102 2.22 443,540 100,586,001 Boeing Co BA 097023105 1.97 372,842 89,318,030 Autodesk Inc ADSK 052769106 1.97 305,694 89,232,079 Oracle Corp ORCL 68389X105 1.79 1,040,455 80,989,017 Deere & Co DE 244199105 1.79 229,470 80,936,364 The Walt Disney Co DIS 254687106 1.52 393,009 69,079,192 Intuit Inc INTU 461202103 1.51 139,527 68,391,950 PayPal Holdings Inc PYPL 70450Y103 1.46 226,624 66,056,364 Intuitive Surgical Inc ISRG 46120E602 1.43 70,664 64,985,441 Monster Beverage Corp MNST 61174X109 1.40 693,644 63,364,379 Novartis AG ADR NVS 66987V109 1.32 656,056 59,858,549 Illumina Inc ILMN 452327109 1.17 111,761 52,886,423 ServiceNow Inc NOW 81762P102 1.16 95,683 52,582,593 Starbucks Corp SBUX 855244109 1.15 464,789 51,968,058 Expeditors International of Washington Inc EXPD 302130109 1.15 410,210 51,932,586 Mastercard Inc Class A MA 57636Q104 1.13 140,334 51,234,540 Roche Holding AG ADR RHHBY 771195104 1.11 1,067,280 50,151,487 Regeneron Pharmaceuticals Inc REGN 75886F107 1.09 88,091 49,202,347 Sea Ltd ADR SE 81141R100 1.07 177,398 48,713,491 Snap Inc Class A SNAP 83304A106 1.06 707,470 48,207,006 Tencent Holdings Ltd 00700 0 1.02 617,200 46,425,251 UnitedHealth Group Inc UNH 91324P102 1.01 114,594 45,888,021 Global Payments Inc GPN 37940X102 0.95 229,310 43,004,797 Netflix Inc NFLX 64110L106 0.93 79,364 41,920,858 Qualcomm Inc QCOM 747525103 0.87 276,499 39,520,002 Fixed Inc Clearing Corp.Repo 0 0 0.84 37,941,498 37,941,498 Cisco Systems Inc CSCO 17275R102 0.77 658,751 34,913,803 Workday Inc Class A WDAY 98138H101 0.71 134,088 32,012,169 Schlumberger Ltd SLB 806857108 0.69 981,882 31,430,043 Stryker Corp SYK 863667101 0.63 109,815 28,522,250 Yum Brands Inc YUM 988498101 0.62 244,312 28,103,209 SEI Investments Co SEIC 784117103 0.61 447,532 27,733,558 Goldman Sachs Group Inc GS 38141G104 0.60 72,234 27,414,970 FactSet Research Systems Inc FDS 303075105 0.58 78,674 26,403,781 Danaher Corp DHR 235851102 0.56 95,270 25,566,657 Colgate-Palmolive Co CL 194162103 0.56 310,650 25,271,378 Match Group Inc MTCH 57667L107 0.56 156,687 25,265,779 Cigna Corp CI 125523100 0.56 106,233 25,184,657 Cerner Corp CERN 156782104 0.54 314,295 24,565,297 Zoom Video Communications Inc ZM 98980L101 0.47 55,363 21,427,142 Pinterest Inc PINS 72352L106 0.47 268,302 21,182,443 S&P Global Inc SPGI 78409V104 0.46 51,193 21,012,167 Synopsys Inc SNPS 871607107 0.45 74,456 20,534,220 Fiserv Inc FISV 337738108 0.44 185,829 19,863,262 Ross Stores Inc ROST 778296103 0.42 153,974 19,092,776 ASML Holding NV ADR ASML N07059210 0.42 27,423 18,944,905 Advanced Micro Devices Inc AMD 007903107 0.41 199,649 18,753,031 Lululemon Athletica Inc LULU 550021109 0.41 50,833 18,552,520 Fund Shares or Par Position Market Security Name Ticker CUSIP Weighting (%) Amount Value ($) Novo Nordisk A/S ADR NVO 670100205 0.39 212,627 17,811,764 Yum China Holdings Inc Ordinary Shares YUMC 98850P109 0.39 265,600 17,596,000 HCA Healthcare Inc HCA 40412C101 0.39 84,672 17,505,089 Dollar General Corp DG 256677105 0.38 79,899 17,289,345 Chipotle Mexican Grill Inc CMG 169656105 0.38 11,062 17,149,861 Booking Holdings Inc BKNG 09857L108 0.38 7,784 17,032,093 Shopify Inc A SHOP 82509L107 0.35 10,930 15,968,511 Vertex Pharmaceuticals Inc VRTX 92532F100 0.35 78,580 15,844,085 Marvell Technology Inc MRVL 573874104 0.33 254,502 14,845,102 Automatic Data Processing Inc ADP 053015103 0.32 74,119 14,721,516 Anthem Inc ANTM 036752103 0.31 37,100 14,164,780 DocuSign Inc DOCU 256163106 0.31 50,604 14,147,360 Fidelity National Information Services Inc FIS 31620M106 0.30 95,322 13,504,268 Zoetis Inc Class A ZTS 98978V103 0.29 71,348 13,296,413 Nike Inc Class B NKE 654106103 0.27 79,804 12,328,920 Thermo Fisher Scientific Inc TMO 883556102 0.26 23,617 11,914,068 MongoDB Inc Class A MDB 60937P106 0.26 32,906 11,896,177 Roper Technologies Inc ROP 776696106 0.26 25,029 11,768,636 Carvana Co Class A CVNA 146869102 0.26 38,564 11,639,386 Fortinet Inc FTNT 34959E109 0.25 48,338 11,513,628 Rivian Auto Ser F Cvt Pp Tc1jnlyl7 0 0 0.25 160,720 11,260,043 Charles Schwab Corp SCHW 808513105 0.24 151,507 11,031,225 DoorDash Inc Ordinary Shares - Class A DASH 25809K105 0.24 61,236 10,920,216 Texas Instruments Inc TXN 882508104 0.23 55,074 10,590,730 CoStar Group Inc CSGP 22160N109 0.22 123,060 10,191,829 Spotify Technology SA SPOT L8681T102 0.21 34,034 9,379,430 General Electric Co GE 369604103 0.16 552,694 7,439,261 Veeva Systems Inc Class A VEEV 922475108 0.16 23,513 7,311,367 Centene Corp CNC 15135B101 0.16 98,755 7,202,202 Atlassian Corporation PLC A TEAM G06242104 0.16 27,922 7,172,045 Dentsply Sirona Inc XRAY 24906P109 0.13 95,848 6,063,344 Linde PLC LIN 0 0.13 20,705 5,985,816 Generac Holdings Inc GNRC 368736104 0.13 14,000 5,812,100 AstraZeneca PLC ADR AZN 046353108 0.12 93,854 5,621,855 T-Mobile US Inc TMUS 872590104 0.12 37,925 5,492,678 Microchip Technology Inc MCHP 595017104 0.12 36,249 5,427,925 Live Nation Entertainment Inc LYV 538034109 0.12 61,400 5,378,026 Etsy Inc ETSY 29786A106 0.12 25,594 5,268,269 Splunk Inc SPLK 848637104 0.11 35,546 5,139,241 Twilio Inc A TWLO 90138F102 0.10 11,856 4,673,161 Roku Inc Class A ROKU 77543R102 0.10 9,806 4,503,406 Avery Dennison Corp AVY 053611109 0.10 21,206 4,458,349 Coupa Software Inc COUP 22266L106 0.09 16,218 4,250,900 ANT INTERNATIONAL CO. LIMITED CLASS C SHARES 0 0 0.09 598,619 4,220,264 IAC/InterActiveCorp Ordinary Shares - New IAC 44891N208 0.09 27,018 4,165,365 TE Connectivity Ltd TEL H84989104 0.09 30,254 4,090,643 Incyte Corp INCY 45337C102 0.09 48,608 4,089,391 Datadog Inc Class A DDOG 23804L103 0.09 39,143 4,074,003 Marsh & McLennan Companies Inc MMC 571748102 0.08 26,692 3,755,031 Hilton Worldwide Holdings Inc HLT 43300A203 0.08 29,405 3,546,831 TransUnion TRU 89400J107 0.08 31,757 3,487,236 TJX Companies Inc TJX 872540109 0.07 49,877 3,362,707 CrowdStrike Holdings Inc Class A CRWD 22788C105 0.07 11,833 2,973,751 Equifax Inc EFX 294429105 0.06 11,573 2,771,849 MSCI Inc MSCI 55354G100 0.06 5,094 2,715,510 Align Technology Inc ALGN 016255101 0.06 4,316 2,637,076 Cintas Corp CTAS 172908105 0.05 6,306 2,408,892 Aptiv PLC APTV G6095L109 0.05 14,695 2,311,964 Vimeo Inc VMEO 92719V100 0.05 45,106 2,210,194 Morgan Stanley MS 617446448 0.05 23,189 2,126,199 Maxim Integrated Products Inc MXIM 57772K101 0.05 19,895 2,096,137 McDonald's Corp MCD 580135101 0.05 8,883 2,051,884 Humana Inc HUM 444859102 0.04 4,117 1,822,678 Fund Shares or Par Position Market Security Name Ticker CUSIP Weighting (%) Amount Value ($) Sherwin-Williams Co SHW 824348106 0.04 6,170 1,681,016 Paycom Software Inc PAYC 70432V102 0.04 4,545 1,651,971 Square Inc A SQ 852234103 0.04 6,544 1,595,427 Expedia Group Inc EXPE 30212P303 0.03 8,100 1,326,051 Roblox Corp Ordinary Shares - Class A RBLX 771049103 0.02 12,386 1,114,492 Marriott International Inc Class A MAR 571903202 0.02 8,102 1,106,085 Copart Inc CPRT 217204106 0.02 8,300 1,094,189 Snowflake Inc Ordinary Shares - Class A SNOW 833445109 0.02 4,124 997,183 Pinduoduo Inc ADR PDD 722304102 0.02 6,736 855,607 Databricks Ser G Cvt Pfd Pp Tc6xlxuh0 0 0 0.02 4,596 815,193 The Estee Lauder Companies Inc Class A EL 518439104 0.02 2,396 762,120 JD.com Inc ADR JD 47215P106 0.02 9,343 745,665 Monolithic Power Systems Inc MPWR 609839105 0.01 1,817 678,559 Eli Lilly and Co LLY 532457108 0.01 2,872 659,181 Coupang Inc Ordinary Shares - Class A CPNG 22266T109 0.01 13,128 549,013 Taiwan Semiconductor Manufacturing Co Ltd ADR TSM 874039100 0.01 3,426 411,668 Zendesk Inc ZEN 98936J101 0.01 2,560 369,510 Wayfair Inc Class A W 94419L101 0.01 800 252,480 Union Pacific Corp UNP 907818108 0.01 1,148 252,568 Exact Sciences Corp EXAS 30063P105 0.00 1,153 143,329 Usd 0 0 0.00 10,388 10,388 Chubb Ltd CB H1467J104 0.00 40 6,358 Krw 0 76105Y109 0.00 100 1 T.