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FORT WASHINGTON INVESTMENT ADVISORS INC /OH/

Tech Focused

Managed by

Hedge Fund

AUM Tracked

$18.1B

AI Exposure

29.6%

AI vs Non-AI Sector Exposure

AI & Semiconductors29.4%
Other Tech0.0%
$MSFT

4.4%

$GOOG

4.1%

$AAPL

3.7%

$META

2.9%

Portfolio Holdings

AI & Tech holdings for FORT WASHINGTON INVESTMENT ADVISORS INC /OH/

TickerCompanySharesValue% of PortfolioAction Last Quarter
$MSFTAIMicrosoft Corporation2,172,672$804.3M
4.4%
No change
$GOOGAIAlphabet Inc.2,569,074$737.0M
4.1%
No change
$AAPLAIApple Inc.2,641,243$670.3M
3.7%
No change
$METAAIMeta Platforms, Inc.919,047$525.8M
2.9%
No change
$NVDAAINVIDIA Corporation2,740,047$477.9M
2.6%
No change
$AMZNAIAmazon.com, Inc.2,135,259$444.7M
2.5%
No change
$TSMAITaiwan Semiconductor653,469$220.8M
1.2%
No change
$TXNAITexas Instruments1,036,439$201.2M
1.1%
No change
$ORCLAIOracle Corporation1,257,747$185.0M
1%
No change
$AVGOAIBroadcom Inc.579,105$179.2M
1%
Increased by 33%
$CRMAISalesforce Inc.855,312$159.7M
0.9%
No change
$AMATAIApplied Materials445,323$152.2M
0.8%
Reduced by 7%
$ABNBAIAirbnb Inc.962,886$121.6M
0.7%
No change
$ADIAIAnalog Devices246,490$78.4M
0.4%
Increased by 6%
$KLACAIKLA Corporation51,954$76.5M
0.4%
No change
$WDAYAIWorkday Inc.517,349$67.2M
0.4%
Increased by 22%
$QCOMAIQUALCOMM Inc.497,992$64.1M
0.4%
No change
$MUAIMicron Technology170,106$57.5M
0.3%
No change
$UBERAIUber Technologies765,736$55.1M
0.3%
No change
$MCHPAIMicrochip Technology580,915$37.5M
0.2%
No change
$GOOGLAIAlphabet Inc.83,053$23.9M
0.1%
No change
$ISRGAIIntuitive Surgical6,419$3.0M
0%
No change
$NOWAIServiceNow Inc.28,250$3.0M
0%
No change
$SNOWAISnowflake Inc.19,456$2.9M
0%
No change
$LRCXAILam Research11,152$2.4M
0%
Reduced by 10%
$TERAITeradyne Inc.6,500$1.9M
0%
No change
$AMDAIAdvanced Micro Devices8,460$1.7M
0%
No change
$MDBAIMongoDB Inc.4,777$1.2M
0%
No change
$MRVLAIMarvell Technology10,700$1.1M
0%
No change
$PANWAIPalo Alto Networks5,574$893.6K
0%
Reduced by 8%
$INTCAIIntel Corporation14,422$636.5K
0%
No change
$PLTRAIPalantir Technologies3,175$464.4K
0%
No change
$KLACAIKLA Corporation210$309.2K
0%
Reduced by 100%
$ADBEAIAdobe Inc.1,217$295.8K
0%
Reduced by 7%
$DELLAIDell Technologies1,758$288.5K
0%
Reduced by 49%
$AVGOAIBroadcom Inc.912$282.3K
0%
Reduced by 100%
$GOOGLAIAlphabet Inc.847$243.6K
0%
Reduced by 99%
$PYPLAIPayPal Holdings4,581$207.2K
0%
Reduced by 51%
$QCOMAIQUALCOMM Inc.1,240$159.7K
0%
Reduced by 100%
$DELLAIDell Technologies483$79.3K
0%
Reduced by 86%
$ORCLAIOracle Corporation500$73.6K
0%
Reduced by 100%