The model portfolio is constructed with pre-defined weights for some of the largest companies in the world just before January 2017: | Company Name | Ticker | Portfolio Weight | | :---------------- | :----- | :--------------- | | Apple | AAPL | 12% | | Microsoft | MSFT | 15% | | Exxon Mobil | XOM | 8% | | Johnson & Johnson | JNJ | 5% | | JP Morgan | JPM | 9% | | Amazon | AMZN | 10% | | General Electric | GE | 11% | | Facebook | FB | 14% | | AT&T | T | 16% | Below is a table of the market capitalizations of the companies in your portfolio just before January 2017: | Company Name | Ticker | Market Cap ($ Billions) | | ----------------- | ------ | ----------------------- | | Apple | AAPL | 601.51 | | Microsoft | MSFT | 469.25 | | Exxon Mobil | XOM | 349.5 | | Johnson & Johnson | JNJ | 310.48 | | JP Morgan | JPM | 299.77 | | Amazon | AMZN | 356.94 | | General Electric | GE | 268.88 | | Facebook | FB | 331.57 | | AT&T | T | 246.09 |