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
EQR icon
151
Equity Residential
EQR
$25.3B
$336M 0.16% 5,225,444 +82,776 +2% +$5.33M
CTSH icon
152
Cognizant
CTSH
$35.3B
$335M 0.16% 5,982,296 +892,637 +18% +$50M
KMI icon
153
Kinder Morgan
KMI
$60B
$332M 0.16% 16,025,381 +733,907 +5% +$15.2M
CRM icon
154
Salesforce
CRM
$245B
$331M 0.16% 4,838,478 +48,678 +1% +$3.33M
DVN icon
155
Devon Energy
DVN
$22.9B
$329M 0.16% 7,204,159 +342,267 +5% +$15.6M
AMAT icon
156
Applied Materials
AMAT
$128B
$329M 0.16% 10,179,872 +1,231,360 +14% +$39.7M
VTR icon
157
Ventas
VTR
$30.9B
$328M 0.16% 5,250,648 +57,951 +1% +$3.62M
HPE icon
158
Hewlett Packard
HPE
$29.6B
$324M 0.15% 14,010,539 +1,058,656 +8% +$24.5M
GD icon
159
General Dynamics
GD
$87.3B
$319M 0.15% 1,845,643 -594,712 -24% -$103M
NOC icon
160
Northrop Grumman
NOC
$84.5B
$318M 0.15% 1,368,191 +105,753 +8% +$24.6M
TFC icon
161
Truist Financial
TFC
$60.4B
$313M 0.15% 6,665,548 +348,121 +6% +$16.4M
WM icon
162
Waste Management
WM
$91.2B
$310M 0.15% 4,365,541 -48,019 -1% -$3.41M
MCK icon
163
McKesson
MCK
$85.4B
$308M 0.15% 2,190,865 -267,718 -11% -$37.6M
MRO
164
DELISTED
Marathon Oil Corporation
MRO
$307M 0.15% 17,739,342 +42,939 +0.2% +$743K
ALL icon
165
Allstate
ALL
$53.6B
$305M 0.15% 4,117,090 +255,408 +7% +$18.9M
CAH icon
166
Cardinal Health
CAH
$35.5B
$305M 0.15% 4,233,494 +331,096 +8% +$23.8M
APD icon
167
Air Products & Chemicals
APD
$65.5B
$303M 0.14% 2,105,502 +407,572 +24% +$58.6M
PCG icon
168
PG&E
PCG
$33.6B
$296M 0.14% 4,866,026 +417,216 +9% +$25.4M
CCI icon
169
Crown Castle
CCI
$43.2B
$295M 0.14% 3,403,597 +243,621 +8% +$21.1M
BSX icon
170
Boston Scientific
BSX
$156B
$295M 0.14% 13,644,787 -253,900 -2% -$5.49M
STI
171
DELISTED
SunTrust Banks, Inc.
STI
$293M 0.14% 5,336,753 +215,247 +4% +$11.8M
CSX icon
172
CSX Corp
CSX
$60.6B
$289M 0.14% 8,055,056 +384,817 +5% +$13.8M
EMR icon
173
Emerson Electric
EMR
$74.3B
$289M 0.14% 5,188,662 +284,494 +6% +$15.9M
IP icon
174
International Paper
IP
$26.2B
$289M 0.14% 5,440,545 +151,504 +3% +$8.04M
DAL icon
175
Delta Air Lines
DAL
$40.3B
$288M 0.14% 5,856,412 +2,072,176 +55% +$102M