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Air Products & Chemicals

Name Holding Trade Value Shares
Change
Change in
Stake
Vanguard Group
1
Vanguard Group
Pennsylvania
$6.23B +$65.1M +207,404 +1%
BlackRock
2
BlackRock
New York
$5.33B +$182M +580,367 +3%
Capital Research Global Investors
3
Capital Research Global Investors
California
$3.86B -$310M -988,725 -7%
State Farm Mutual Automobile Insurance
4
State Farm Mutual Automobile Insurance
Illinois
$3.55B -$20.3M -64,655 -0.5%
State Street
5
State Street
Massachusetts
$2.84B +$52M +165,522 +2%
JP Morgan Chase
6
JP Morgan Chase
New York
$2.09B +$362M +1,153,115 +19%
Dodge & Cox
7
Dodge & Cox
California
$1.93B +$20.4M +64,960 +1%
Bank of America
8
Bank of America
North Carolina
$1.57B -$80.2M -255,453 -4%
Geode Capital Management
9
Geode Capital Management
Massachusetts
$1.43B +$18M +57,314 +1%
MRL
10
Mantle Ridge LP
New York
$1.19B +$1.29B +4,107,517 New
Morgan Stanley
11
Morgan Stanley
New York
$1.11B +$63.5M +202,229 +6%
Northern Trust
12
Northern Trust
Illinois
$1.04B +$49.1M +156,419 +5%
Franklin Resources
13
Franklin Resources
California
$1.02B -$39.6M -126,202 -3%
Norges Bank
14
Norges Bank
Norway
$920M +$331M +1,053,779 +50%
Raymond James Financial
15
Raymond James Financial
Florida
$885M +$959M +3,052,582 New
Barrow, Hanley, Mewhinney & Strauss
16
Barrow, Hanley, Mewhinney & Strauss
Texas
$765M -$99.5M -316,797 -11%
Royal Bank of Canada
17
Royal Bank of Canada
Ontario, Canada
$695M +$10.9M +34,676 +1%
Fidelity Investments
18
Fidelity Investments
Massachusetts
$672M +$30.9M +98,346 +4%
UBS Group
19
UBS Group
Switzerland
$608M +$147M +467,477 +29%
Bank of New York Mellon
20
Bank of New York Mellon
New York
$606M +$9.7M +30,888 +2%
Wells Fargo
21
Wells Fargo
California
$544M -$32.3M -102,831 -5%
ClearBridge Investments
22
ClearBridge Investments
New York
$532M -$6.1M -19,413 -1%
Massachusetts Financial Services
23
Massachusetts Financial Services
Massachusetts
$490M -$329M -1,046,634 -38%
Stifel Financial
24
Stifel Financial
Missouri
$474M +$374K +1,191 +0.1%
LCOV
25
London Company of Virginia
Virginia
$465M -$26.1M -83,083 -5%