We are live on ! Find out more
GD icon

General Dynamics

Name Holding Trade Value Shares
Change
Change in
Stake
LAMI
1
Longview Asset Management (Illinois)
Illinois
$7.66B
Vanguard Group
2
Vanguard Group
Pennsylvania
$6.44B -$44M -169,099 -0.7%
BlackRock
3
BlackRock
New York
$4.58B +$78.6M +302,419 +2%
Newport Trust Company
4
Newport Trust Company
District of Columbia
$4.02B -$56M -215,457 -1%
State Street
5
State Street
Massachusetts
$3B -$47.5M -182,688 -2%
Bank of America
6
Bank of America
North Carolina
$2.37B +$340M +1,307,677 +18%
Capital Research Global Investors
7
Capital Research Global Investors
California
$1.91B +$71.8M +276,132 +4%
Massachusetts Financial Services
8
Massachusetts Financial Services
Massachusetts
$1.83B -$172M -661,936 -9%
Morgan Stanley
9
Morgan Stanley
New York
$1.8B +$319M +1,226,836 +23%
Wells Fargo
10
Wells Fargo
California
$1.62B -$34.4M -132,542 -2%
Geode Capital Management
11
Geode Capital Management
Massachusetts
$1.57B +$21.6M +83,129 +1%
JP Morgan Chase
12
JP Morgan Chase
New York
$1.5B +$66.7M +256,687 +5%
Sanders Capital
13
Sanders Capital
Florida
$1.14B -$7.9M -30,386 -0.7%
Wellington Management Group
14
Wellington Management Group
Massachusetts
$1.01B -$1.19B -4,587,544 -55%
Fidelity Investments
15
Fidelity Investments
Massachusetts
$918M -$101M -388,234 -10%
Aristotle Capital Management
16
Aristotle Capital Management
California
$780M -$28.5M -109,599 -4%
Ameriprise
17
Ameriprise
Minnesota
$749M +$184M +709,782 +35%
Royal Bank of Canada
18
Royal Bank of Canada
Ontario, Canada
$734M -$63.1M -242,939 -8%
Northern Trust
19
Northern Trust
Illinois
$697M -$12.4M -47,665 -2%
Invesco
20
Invesco
Georgia
$648M -$13.6M -52,354 -2%
Franklin Resources
21
Franklin Resources
California
$455M -$15.4M -59,369 -3%
Bank of New York Mellon
22
Bank of New York Mellon
New York
$450M -$14.2M -54,530 -3%
UBS Group
23
UBS Group
Switzerland
$445M +$21.5M +82,622 +5%
Charles Schwab
24
Charles Schwab
California
$431M +$1.38M +5,313 +0.3%
Dimensional Fund Advisors
25
Dimensional Fund Advisors
Texas
$417M -$3.78M -14,541 -0.9%