BG

BlackRock Group Portfolio holdings

AUM $209B
This Quarter Return
+3.8%
1 Year Return
+15.42%
3 Year Return
+34.37%
5 Year Return
10 Year Return
AUM
$209B
AUM Growth
+$209B
Cap. Flow
+$6.91B
Cap. Flow %
3.31%
Top 10 Hldgs %
14.35%
Holding
3,053
New
76
Increased
2,158
Reduced
530
Closed
85

Sector Composition

1 Financials 15.62%
2 Technology 14.07%
3 Healthcare 13.6%
4 Consumer Discretionary 9.27%
5 Communication Services 8.83%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
F icon
126
Ford
F
$46.8B
$401M 0.19% 33,094,045 +1,566,729 +5% +$19M
BLK icon
127
Blackrock
BLK
$175B
$392M 0.19% 1,030,808 +58,646 +6% +$22.3M
GIS icon
128
General Mills
GIS
$26.4B
$392M 0.19% 6,346,245 -259,235 -4% -$16M
PLD icon
129
Prologis
PLD
$106B
$389M 0.19% 7,369,002 +199,104 +3% +$10.5M
KMB icon
130
Kimberly-Clark
KMB
$42.8B
$387M 0.18% 3,393,687 +178,971 +6% +$20.4M
AVB icon
131
AvalonBay Communities
AVB
$27.9B
$380M 0.18% 2,144,503 +47,890 +2% +$8.48M
VLO icon
132
Valero Energy
VLO
$47.2B
$376M 0.18% 5,502,111 +163,537 +3% +$11.2M
AMT icon
133
American Tower
AMT
$95.5B
$376M 0.18% 3,553,680 -166,106 -4% -$17.6M
WELL icon
134
Welltower
WELL
$113B
$375M 0.18% 5,610,202 +309,253 +6% +$20.7M
BHI
135
DELISTED
Baker Hughes
BHI
$372M 0.18% 5,719,950 +417,415 +8% +$27.1M
RAI
136
DELISTED
Reynolds American Inc
RAI
$369M 0.18% 6,591,074 +279,062 +4% +$15.6M
BRK.A icon
137
Berkshire Hathaway Class A
BRK.A
$1.09T
$369M 0.18% 1,510 -3 -0.2% -$732K
INTU icon
138
Intuit
INTU
$186B
$358M 0.17% 3,122,948 +114,912 +4% +$13.2M
EXC icon
139
Exelon
EXC
$44.1B
$357M 0.17% 10,057,165 +1,169,239 +13% +$41.5M
PXD
140
DELISTED
Pioneer Natural Resource Co.
PXD
$356M 0.17% 1,975,754 -52,555 -3% -$9.46M
HUM icon
141
Humana
HUM
$36.5B
$355M 0.17% 1,741,065 +336,962 +24% +$68.8M
BAX icon
142
Baxter International
BAX
$12.7B
$355M 0.17% 8,006,231 +514,913 +7% +$22.8M
JCI icon
143
Johnson Controls International
JCI
$69.9B
$352M 0.17% 8,554,564 +709,626 +9% +$29.2M
CI icon
144
Cigna
CI
$80.3B
$351M 0.17% 2,629,678 +235,983 +10% +$31.5M
PYPL icon
145
PayPal
PYPL
$67.1B
$350M 0.17% 8,877,720 +318,456 +4% +$12.6M
BDX icon
146
Becton Dickinson
BDX
$55.3B
$350M 0.17% 2,115,199 +14,977 +0.7% +$2.48M
ADM icon
147
Archer Daniels Midland
ADM
$30.1B
$348M 0.17% 7,628,039 +1,385,573 +22% +$63.3M
DFS
148
DELISTED
Discover Financial Services
DFS
$342M 0.16% 4,749,625 +149,223 +3% +$10.8M
ATVI
149
DELISTED
Activision Blizzard Inc.
ATVI
$340M 0.16% 9,421,423 +2,053,158 +28% +$74.1M
ITW icon
150
Illinois Tool Works
ITW
$77.1B
$340M 0.16% 2,776,526 +51,601 +2% +$6.32M