GENERAL ELECTRIC CO

13F Portfolio Filings

  • Most recent 13F
    Q3 2024
  • Location
    evendale, OH
  • CIK
    0000040545
  • All SEC filings
Quater
Holdings
VALUE
Top Holdings
Form Type
Date Filed
Filing Id
2
$1.26B
GEHC, HYLN
13F-HR
Nov 7, 2024
000004054524000202
2
$2.39B
GEHC, HYLN
13F-HR
Aug 1, 2024
000004054524000178
2
$2.79B
GEHC, HYLN
13F-HR
May 14, 2024
000004054524000150
3
$4.77B
GEHC, HYLN, AER
13F-HR
Feb 14, 2024
000004054524000032
3
$6.13B
GEHC, AER, HYLN
13F-HR
Oct 27, 2023
000004054523000243
3
$9.98B
GEHC, AER, HYLN
13F-HR
Aug 1, 2023
000004054523000206
3
$11.90B
GEHC, AER, HYLN
13F-HR
May 15, 2023
000004054523000146
7
$6.73M
AER, BKR, HYLN, SOPHIA GENETICS SA
13F-HR
Feb 14, 2023
000004054523000027
3
$3.60M
SOPHIA GENETICS SA, SHCR, LUNG
NEW HOLDINGS
Mar 7, 2023
000004054523000076
4
$5.44B
AER, BKR, HYLN, SARCOS TECHN AND ROBOTICS CO
13F-HR
Oct 26, 2022
000004054522000063
3
$4.60M
SOPHIA GENETICS SA, SHCR, LUNG
NEW HOLDINGS
Mar 7, 2023
000004054523000075
4
$5.87B
AER, BKR, SARCOS TECHN AND ROBOTICS CO, STEM
13F-HR
Jul 28, 2022
000004054522000052
3
$9.51M
SOPHIA GENETICS SA, SHCR, LUNG
NEW HOLDINGS
Mar 7, 2023
000004054523000074
4
$9.90B
AER, BKR, SARCOS TECHN AND ROBOTICS CO, STEM
13F-HR
May 3, 2022
000004054522000033
3
$17.20M
SOPHIA GENETICS SA, SHCR, LUNG
NEW HOLDINGS
Mar 7, 2023
000004054523000073
4
$11.39B
AER, BKR, SARCOS TECHN AND ROBOTICS CO, STEM
13F-HR
Feb 11, 2022
000004054522000011
3
$22.00M
SOPHIA GENETICS SA, SHCR, LUNG
NEW HOLDINGS
Mar 7, 2023
000004054523000072
4
$5.40B
BKR, STEM, SARCOS TECHN AND ROBOTICS CO, GE
13F-HR
Oct 27, 2021
000004054521000066
2
$6.13B
BKR, GE
13F-HR
Aug 3, 2021
000004054521000055
2
$6.73B
BKR, GE
13F-HR
May 5, 2021
000004054521000028
2
$7.29B
BKR, GE
13F-HR
Feb 12, 2021
000004054521000015
2
$5.02B
BKR, GE
13F-HR
Nov 10, 2020
000004054520000060
2
$5.81B
BKR, GE
13F-HR
Aug 3, 2020
000004054520000050
2
$3.96B
BKR, GE
13F-HR
May 11, 2020
000004054520000027
3
$9.68B
BKR, GE, STIM
13F-HR
Feb 11, 2020
000004054520000004
3
$8.77B
BKR, STIM, GE
13F-HR
Nov 14, 2019
000004054519000071
5
$1.42B
WAB, TELL, NEXT, STIM
13F-HR
Aug 9, 2019
000004054519000060
5
$1.47B
WAB, TELL, STIM, NEXT
13F-HR
May 15, 2019
000004054519000031
3
$35.04M
TELL, NEXT, GE
13F-HR
Feb 15, 2019
000004054519000009
4
$288.57M
NEOGENOMICS INC, TELL, NEXT, GE
13F-HR
Nov 15, 2018
000004054518000085
4
$255.62M
NEOGENOMICS INC, TELL, NEXT, GE
13F-HR
Aug 15, 2018
000004054518000067
4
$175.14M
NEOGENOMICS INC, TELL, NEXT, GE
13F-HR
May 15, 2018
000004054518000036
5
$214.72M
NEOGENOMICS INC, TELL, NEXT, GE
13F-HR
Feb 13, 2018
000004054518000009
8
$279.98M
NEOGENOMICS INC, TELL, NEXT, VYM
13F-HR
Nov 13, 2017
000114036117042104
5
$210.53M
NEOGENOMICS INC, TELL, TPI COMPOSITES INC, CSLT
13F-HR
Aug 4, 2017
000114036117030273
3
$164.75M
NEOGENOMICS INC, TPI COMPOSITES INC, CHECK CAP LTD
13F-HR
May 15, 2017
000114036117020400
5
$179.81M
NEOGENOMICS INC, TPI COMPOSITES INC, SEDG, CHECK CAP LTD
13F-HR
Feb 13, 2017
000114036117006153
6
$193.83M
NEOGENOMICS INC, TPI COMPOSITES INC, SEDG, VCYT
13F-HR
Nov 10, 2016
000114036116085662
208
$19.21B
GE, ALLERGAN PLC, MDT, AMGN
13F-HR
Aug 11, 2016
000114036116075793
217
$19.56B
GE, ALLERGAN PLC, AAPL, AMGN
13F-HR
May 12, 2016
000114036116064759
213
$20.70B
GE, ALLERGAN PLC, AMGN, CMCSA
13F-HR
Feb 12, 2016
000114036116052169
214
$42.04B
SYF, GE, ALLERGAN PLC, AAPL
13F-HR
Nov 12, 2015
000114036115040572
215
$44.69B
SYF, GE, ALLERGAN PLC, AAPL
13F-HR
Aug 13, 2015
000114036115031564
219
$42.98B
SYF, GE, ACTAVIS PLC, AAPL
13F-HR
May 13, 2015
000114036115019304
6
$1.17B
ACTAVIS PLC, COVIDIEN PLC, DYH, DELPHI AUTOMOTIVE PLC
NEW HOLDINGS
Apr 29, 2015
000114036115016716
220
$41.60B
SYF, GE, QCOM, AMGN
13F-HR
Feb 13, 2015
000114036115006534
217
$38.64B
SYF, GE, QCOM, AMGN
13F-HR
Nov 14, 2014
000114036114041642
214
$21.97B
GE, SLB, QCOM, AMGN
13F-HR
Aug 6, 2014
000114036114030942
205
$21.38B
GE, QCOM, SLB, ESRX
13F-HR
May 13, 2014
000114036114020398
209
$21.27B
GE, QCOM, BIDU, SLB
13F-HR
Feb 14, 2014
000114036114007215