We are live on ! Find out more
ACN icon

Accenture

Name Holding Trade Value Shares
Change
Change in
Stake
Vanguard Group
1
Vanguard Group
Pennsylvania
$5.99B +$133M +1,088,676 +2%
Massachusetts Financial Services
2
Massachusetts Financial Services
Massachusetts
$5.44B +$157M +1,290,700 +3%
BlackRock
3
BlackRock
New York
$5.03B +$146M +1,196,578 +3%
Capital Research Global Investors
4
Capital Research Global Investors
California
$3.53B +$73.7M +605,156 +2%
State Street
5
State Street
Massachusetts
$3.05B -$87.7M -719,892 -3%
Wellington Management Group
6
Wellington Management Group
Massachusetts
$2.73B +$55.3M +453,962 +2%
JP Morgan Chase
7
JP Morgan Chase
New York
$2B +$333M +2,736,363 +20%
Bank of New York Mellon
8
Bank of New York Mellon
New York
$1.48B -$241M -1,977,051 -14%
Morgan Stanley
9
Morgan Stanley
New York
$1.21B +$108M +889,357 +10%
Northern Trust
10
Northern Trust
Illinois
$1.17B +$8.62M +70,740 +0.8%
FMI
11
Fiduciary Management Inc
Wisconsin
$870M +$390K +3,201 +0%
Geode Capital Management
12
Geode Capital Management
Massachusetts
$859M +$28.4M +232,791 +3%
Fidelity Investments
13
Fidelity Investments
Massachusetts
$762M -$289M -2,372,293 -28%
IFP
14
Independent Franchise Partners
United Kingdom
$751M +$77.8M +638,644 +12%
Bank of America
15
Bank of America
North Carolina
$747M -$29.8M -244,507 -4%
UBS Group
16
UBS Group
Switzerland
$746M +$48.5M +397,791 +7%
Norges Bank
17
Norges Bank
Norway
$702M -$26.4M -216,653 -4%
LP
18
Longview Partners
Guernsey
$637M -$16.5M -135,366 -3%
Lazard Asset Management
19
Lazard Asset Management
New York
$633M +$797K +6,539 +0.1%
WCM Investment Management
20
WCM Investment Management
California
$605M +$38.6M +316,571 +7%
Franklin Resources
21
Franklin Resources
California
$600M +$20.4M +167,324 +4%
Wells Fargo
22
Wells Fargo
California
$598M -$141M -1,156,699 -19%
Polen Capital Management
23
Polen Capital Management
Florida
$587M +$40.8M +334,899 +8%
Goldman Sachs
24
Goldman Sachs
New York
$545M +$110M +905,081 +26%
TCIM
25
TIAA CREF Investment Management
New York
$434M -$26.7M -219,413 -6%