DEUTSCHE BANK AG\

10% Owner
DEUTSCHE BANK AG\
$167,635,880,000.00
%
COMPANY
SHARES
NET TOTAL
75.70%
Other
1,903,453,300
$126,906,425,000.00
1.63%
MICROSOFT CORP
10,635,105
$2,731,414,000.00
1.46%
APPLE INC
17,931,532
$2,451,599,000.00
1.18%
ALPHABET INC
905,488
$1,973,294,000.00
0.96%
MICROSOFT CORP
6,266,091
$1,609,320,000.00
0.92%
CROWN CASTLE INTL CORP NEW
9,152,872
$1,541,161,000.00
0.77%
AMERICAN TOWER CORP NEW
5,080,216
$1,298,452,000.00
0.77%
APPLE INC
9,469,305
$1,294,643,000.00
0.76%
JOHNSON & JOHNSON
7,192,129
$1,276,675,000.00
0.75%
ENBRIDGE INC
29,662,834
$1,253,551,000.00
0.72%
APPLE INC
8,798,449
$1,202,924,000.00
0.69%
MICROSOFT CORP
4,493,156
$1,153,977,000.00
0.69%
AMAZON COM INC
10,826,302
$1,149,862,000.00
0.66%
MERCK & CO INC
12,148,287
$1,107,559,000.00
0.63%
PFIZER INC
20,271,932
$1,062,857,000.00
0.62%
PROCTER AND GAMBLE CO
7,271,038
$1,045,503,000.00
0.60%
MICROSOFT CORP
3,935,361
$1,010,719,000.00
0.60%
MEDTRONIC PLC
11,225,369
$1,007,477,000.00
0.59%
SEMPRA
6,573,126
$987,744,000.00
0.56%
APPLE INC
6,859,443
$937,823,000.00
0.51%
WILLIAMS COS INC
27,350,220
$853,600,000.00
0.51%
LINDE PLC
2,965,832
$852,766,000.00
0.49%
SBA COMMUNICATIONS CORP NEW
2,582,877
$826,650,000.00
0.45%
TESLA INC
1,109,345
$747,055,000.00
0.44%
JOHNSON & JOHNSON
4,187,988
$743,410,000.00
0.44%
JPMORGAN CHASE & CO
6,548,772
$737,457,000.00
0.44%
VISA INC
3,738,029
$735,981,000.00
0.44%
LINDE PLC
2,556,001
$734,927,000.00
0.43%
BK OF AMERICA CORP
23,283,948
$724,829,000.00
0.43%
NEWMONT CORP
12,104,878
$722,298,000.00
0.42%
PEPSICO INC
4,205,970
$700,967,000.00
0.40%
UNION PAC CORP
3,148,434
$671,498,000.00
0.39%
AMGEN INC
2,714,417
$660,418,000.00
0.38%
SCHLUMBERGER LTD
18,023,236
$644,511,000.00
0.38%
ALPHABET INC
288,883
$629,551,000.00
0.37%
NVIDIA CORPORATION
4,044,431
$613,095,000.00
0.36%
EXXON MOBIL CORP
7,138,791
$611,366,000.00
0.36%
BRISTOL-MYERS SQUIBB CO
7,889,090
$607,460,000.00
0.36%
META PLATFORMS INC
3,758,566
$606,069,000.00
0.36%
BERKSHIRE HATHAWAY INC DEL
2,218,895
$605,803,000.00
0.36%
UNITEDHEALTH GROUP INC
1,174,376
$603,195,000.00