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General Motors

Name Holding Trade Value Shares
Change
Change in
Stake
BlackRock
1
BlackRock
New York
$6.16B -$137M -1,719,961 -2%
Vanguard Capital Management
2
Vanguard Capital Management
Pennsylvania
$4.38B +$4.67B +58,740,593 New
State Street
3
State Street
Massachusetts
$3.32B -$96.8M -1,217,349 -3%
Vanguard Portfolio Management
4
Vanguard Portfolio Management
Pennsylvania
$2.82B +$3B +37,791,920 New
Franklin Resources
5
Franklin Resources
California
$2.69B +$309M +3,886,349 +12%
Geode Capital Management
6
Geode Capital Management
Massachusetts
$1.64B -$17.3M -217,592 -1%
Capital World Investors
7
Capital World Investors
California
$1.39B -$73.1M -919,762 -5%
Fidelity Investments
8
Fidelity Investments
Massachusetts
$1.13B -$60.8M -764,839 -5%
Dimensional Fund Advisors
9
Dimensional Fund Advisors
Texas
$1.06B +$6.13M +77,100 +0.5%
AQR Capital Management
10
AQR Capital Management
Connecticut
$1.03B +$239M +3,008,833 +28%
Harris Associates
11
Harris Associates
Illinois
$1B -$314M -3,950,036 -23%
D.E. Shaw & Co
12
D.E. Shaw & Co
New York
$918M -$13.7M -172,390 -1%
Invesco
13
Invesco
Georgia
$903M +$156M +1,957,575 +19%
Morgan Stanley
14
Morgan Stanley
New York
$871M -$120M -1,506,341 -11%
Viking Global Investors
15
Viking Global Investors
Connecticut
$684M +$188M +2,370,848 +35%
Northern Trust
16
Northern Trust
Illinois
$673M -$13.8M -173,669 -2%
Charles Schwab
17
Charles Schwab
California
$647M -$24.9M -313,417 -3%
UBS AM
18
UBS AM
Illinois
$630M +$16.9M +212,244 +3%
Hotchkis & Wiley Capital Management
19
Hotchkis & Wiley Capital Management
California
$629M -$155M -1,947,992 -19%
Bank of America
20
Bank of America
North Carolina
$622M -$22.4M -281,480 -3%
Legal & General Group
21
Legal & General Group
United Kingdom
$580M -$56.2M -706,766 -8%
Bank of New York Mellon
22
Bank of New York Mellon
New York
$546M +$134M +1,680,877 +30%
LSV Asset Management
23
LSV Asset Management
Illinois
$509M -$16.8M -211,955 -3%
Goldman Sachs
24
Goldman Sachs
New York
$505M +$55.6M +699,567 +12%
Ameriprise
25
Ameriprise
Minnesota
$466M -$39.7M -499,406 -7%