Name Funds
holding
Growth Growth % Return since
30 Jun ‘16
2176
508 +9 +2% 12.3%
2177
968 +17 +2% 152%
2178
57 +1 +2% 116%
MDT icon
2179
Medtronic
MDT
$110B
1,260 +22 +2% 1.65%
2180
172 +3 +2% 15.3%
2181
230 +4 +2% 106%
2182
230 +4 +2% 0.57%
2183
633 +11 +2% 72.4%
2184
578 +10 +2% 23.5%
2185
637 +11 +2% 95%
CMCSA icon
2186
Comcast
CMCSA
$107B
1,391 +24 +2% 8.65%
2187
116 +2 +2% 33.5%
2188
58 +1 +2% 9.48%
2189
987 +17 +2% 120%
2190
1,283 +22 +2% 13.6%
2191
235 +4 +2% 117%
2192
118 +2 +2% 12.5%
2193
59 +1 +2% 325%
2194
355 +6 +2% 35.6%
2195
299 +5 +2% 83.8%
2196
359 +6 +2% 72%
2197
838 +14 +2% 163%
2198
841 +14 +2% 58.4%
2199
481 +8 +2% 29.1%
2200
181 +3 +2% 45.3%