We are live on ! Find out more
Name Holding Trade Value Shares
Change
Change in
Stake
BlackRock
1
BlackRock
New York
$16.6B -$105M -295,666 -0.6%
Vanguard Capital Management
2
Vanguard Capital Management
Pennsylvania
$12.3B +$12.5B +35,014,232 New
State Street
3
State Street
Massachusetts
$10.7B -$15.3M -42,915 -0.1%
Capital World Investors
4
Capital World Investors
California
$10.3B +$2.21B +6,190,632 +27%
Invesco
5
Invesco
Georgia
$5.59B -$357M -1,000,580 -6%
Morgan Stanley
6
Morgan Stanley
New York
$5.57B +$32.6M +91,530 +0.6%
Geode Capital Management
7
Geode Capital Management
Massachusetts
$5.41B +$402M +1,127,230 +8%
Vanguard Portfolio Management
8
Vanguard Portfolio Management
Pennsylvania
$5.14B +$5.21B +14,621,148 New
Charles Schwab
9
Charles Schwab
California
$4.49B +$343M +962,341 +8%
Primecap Management
10
Primecap Management
California
$3.12B -$11M -30,850 -0.3%
JP Morgan Chase
11
JP Morgan Chase
New York
$2.54B +$1.78B +4,984,212 +217%
Capital International Investors
12
Capital International Investors
California
$2.51B -$3.94B -11,063,995 -61%
Wells Fargo
13
Wells Fargo
California
$2.49B -$8.09M -22,683 -0.3%
Capital Research Global Investors
14
Capital Research Global Investors
California
$2.45B +$823M +2,307,190 +50%
Northern Trust
15
Northern Trust
Illinois
$2.19B +$12.9M +36,180 +0.6%
Bank of America
16
Bank of America
North Carolina
$1.8B -$148M -416,333 -8%
UBS AM
17
UBS AM
Illinois
$1.68B +$64.5M +180,963 +4%
Royal Bank of Canada
18
Royal Bank of Canada
Ontario, Canada
$1.57B -$83.2M -233,485 -5%
Goldman Sachs
19
Goldman Sachs
New York
$1.48B -$111M -310,269 -7%
Legal & General Group
20
Legal & General Group
United Kingdom
$1.36B +$21.2M +59,412 +2%
Bank of New York Mellon
21
Bank of New York Mellon
New York
$1.33B -$40.5M -113,573 -3%
Fidelity Investments
22
Fidelity Investments
Massachusetts
$1.33B +$65.7M +184,210 +5%
Amundi
23
Amundi
France
$1.19B -$7M -19,639 -0.6%
Dimensional Fund Advisors
24
Dimensional Fund Advisors
Texas
$1.16B +$26.2M +73,365 +2%
UBS Group
25
UBS Group
Switzerland
$1.11B -$341M -956,484 -23%