BIM

BlackRock Investment Management Portfolio holdings

AUM $86.4B
This Quarter Return
+5.89%
1 Year Return
+16.81%
3 Year Return
+37.04%
5 Year Return
10 Year Return
AUM
$86.4B
AUM Growth
+$86.4B
Cap. Flow
+$1.98B
Cap. Flow %
2.29%
Top 10 Hldgs %
13.78%
Holding
4,024
New
85
Increased
1,984
Reduced
1,206
Closed
96

Sector Composition

1 Financials 17.43%
2 Technology 13.62%
3 Healthcare 13.12%
4 Industrials 10.01%
5 Consumer Discretionary 8.8%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
VLO icon
101
Valero Energy
VLO
$47.2B
$176M 0.2% 2,575,066 -13,892 -0.5% -$949K
COP icon
102
ConocoPhillips
COP
$124B
$175M 0.2% 3,498,948 +25,393 +0.7% +$1.27M
RAI
103
DELISTED
Reynolds American Inc
RAI
$166M 0.19% 2,956,910 -46,535 -2% -$2.61M
LUV icon
104
Southwest Airlines
LUV
$17.3B
$165M 0.19% 3,311,867 -127,594 -4% -$6.36M
IWD icon
105
iShares Russell 1000 Value ETF
IWD
$63.5B
$164M 0.19% 1,467,129 +562,864 +62% +$63.1M
AZN icon
106
AstraZeneca
AZN
$248B
$164M 0.19% 6,002,547 -2,076,564 -26% -$56.7M
HES
107
DELISTED
Hess
HES
$163M 0.19% 2,617,243 +169,571 +7% +$10.6M
LLY icon
108
Eli Lilly
LLY
$657B
$162M 0.19% 2,209,331 -188,891 -8% -$13.9M
ACN icon
109
Accenture
ACN
$162B
$160M 0.19% 1,368,261 +79,642 +6% +$9.33M
IP icon
110
International Paper
IP
$26.2B
$160M 0.19% 3,019,361 -72,894 -2% -$3.87M
TXN icon
111
Texas Instruments
TXN
$184B
$159M 0.18% 2,175,478 +116,846 +6% +$8.53M
NVDA icon
112
NVIDIA
NVDA
$4.24T
$158M 0.18% 1,477,126 +87,201 +6% +$9.31M
TWX
113
DELISTED
Time Warner Inc
TWX
$157M 0.18% 1,623,944 -126,316 -7% -$12.2M
GLD icon
114
SPDR Gold Trust
GLD
$107B
$156M 0.18% 1,426,944 -72,615 -5% -$7.96M
PEG icon
115
Public Service Enterprise Group
PEG
$41.1B
$156M 0.18% 3,553,958 -111,804 -3% -$4.91M
APC
116
DELISTED
Anadarko Petroleum
APC
$155M 0.18% 2,226,284 -6,421 -0.3% -$448K
KEY icon
117
KeyCorp
KEY
$21.2B
$153M 0.18% 8,385,811 -355,515 -4% -$6.5M
ASML icon
118
ASML
ASML
$292B
$150M 0.17% 1,333,299 +447,375 +50% +$50.2M
IEFA icon
119
iShares Core MSCI EAFE ETF
IEFA
$150B
$149M 0.17% 2,784,328 -59,005 -2% -$3.16M
BAX icon
120
Baxter International
BAX
$12.7B
$149M 0.17% 3,361,295 +194,699 +6% +$8.63M
CHTR icon
121
Charter Communications
CHTR
$36.3B
$148M 0.17% 514,859 +27,452 +6% +$7.9M
CCL icon
122
Carnival Corp
CCL
$43.2B
$148M 0.17% 2,838,463 +9,648 +0.3% +$502K
CME icon
123
CME Group
CME
$96B
$146M 0.17% 1,266,953 -335,218 -21% -$38.7M
SPG icon
124
Simon Property Group
SPG
$59B
$146M 0.17% 819,961 +67,314 +9% +$12M
MMC icon
125
Marsh & McLennan
MMC
$101B
$145M 0.17% 2,139,106 -51,360 -2% -$3.47M