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Name Holding Trade Value Shares
Change
Change in
Stake
Vanguard Group
1
Vanguard Group
Pennsylvania
$2.04B -$2.16M -8,278 -0.1%
BlackRock
2
BlackRock
New York
$1.35B -$19.9M -76,079 -1%
Wellington Management Group
3
Wellington Management Group
Massachusetts
$1.32B -$145M -553,070 -10%
OAG
4
Orbis Allan Gray
Bermuda
$1.25B -$56.7M -216,823 -4%
T. Rowe Price Associates
5
T. Rowe Price Associates
Maryland
$1.08B -$88.3M -337,941 -7%
JP Morgan Chase
6
JP Morgan Chase
New York
$808M -$68.5M -261,967 -8%
State Street
7
State Street
Massachusetts
$718M -$25.3M -96,733 -3%
Boston Partners
8
Boston Partners
Massachusetts
$715M -$46.6M -178,373 -6%
T. Rowe Price Investment Management
9
T. Rowe Price Investment Management
Maryland
$687M -$264M -1,011,708 -27%
SGA
10
Sustainable Growth Advisers
Connecticut
$498M -$33.6M -128,552 -6%
Geode Capital Management
11
Geode Capital Management
Massachusetts
$404M +$8.42M +32,219 +2%
Fidelity Investments
12
Fidelity Investments
Massachusetts
$334M -$136M -519,057 -28%
Mawer Investment Management
13
Mawer Investment Management
Alberta, Canada
$287M -$4.58M -17,531 -2%
Allianz Asset Management
14
Allianz Asset Management
Germany
$261M +$5.94M +22,721 +2%
Invesco
15
Invesco
Georgia
$231M +$33.9M +129,552 +17%
Tiger Global Management
16
Tiger Global Management
New York
$200M -$452K -1,730 -0.2%
Northern Trust
17
Northern Trust
Illinois
$172M +$4.77M +18,258 +3%
Norges Bank
18
Norges Bank
Norway
$169M +$15.5M +59,344 +10%
Bank of America
19
Bank of America
North Carolina
$155M -$34.4M -131,421 -18%
Dimensional Fund Advisors
20
Dimensional Fund Advisors
Texas
$147M +$5.2M +19,888 +4%
Capital International Investors
21
Capital International Investors
California
$140M +$978K +3,741 +0.7%
Massachusetts Financial Services
22
Massachusetts Financial Services
Massachusetts
$138M +$127M +487,116 +914%
DCP
23
DSM Capital Partners
Florida
$135M -$27.7M -106,033 -17%
Bank of New York Mellon
24
Bank of New York Mellon
New York
$126M -$3.99M -15,273 -3%
Morgan Stanley
25
Morgan Stanley
New York
$113M -$756K -2,891 -0.6%