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Name Holding Trade Value Shares
Change
Change in
Stake
Berkshire Hathaway
1
Berkshire Hathaway
Nebraska
$22.1B
Vanguard Group
2
Vanguard Group
Pennsylvania
$17.6B +$238M +4,422,877 +1%
BlackRock
3
BlackRock
New York
$15.2B +$285M +5,295,919 +2%
State Street
4
State Street
Massachusetts
$10B -$5.43M -100,948 -0.1%
Wellington Management Group
5
Wellington Management Group
Massachusetts
$5.11B -$30.3M -562,767 -0.6%
JP Morgan Chase
6
JP Morgan Chase
New York
$3.46B -$39.4M -731,965 -1%
Capital Research Global Investors
7
Capital Research Global Investors
California
$3.25B -$60.1M -1,117,349 -2%
Capital International Investors
8
Capital International Investors
California
$3.09B -$39.5M -734,319 -1%
Fidelity Investments
9
Fidelity Investments
Massachusetts
$3.08B -$320M -5,951,524 -10%
Geode Capital Management
10
Geode Capital Management
Massachusetts
$2.92B +$116M +2,155,322 +4%
Bank of America
11
Bank of America
North Carolina
$2.86B -$15.2M -282,177 -0.5%
Morgan Stanley
12
Morgan Stanley
New York
$2.81B +$30.8M +572,569 +1%
Northern Trust
13
Northern Trust
Illinois
$2.79B -$38.2M -709,770 -1%
Norges Bank
14
Norges Bank
Norway
$2.01B +$14.9M +276,983 +0.8%
Bank of New York Mellon
15
Bank of New York Mellon
New York
$1.95B -$24M -446,019 -1%
Capital World Investors
16
Capital World Investors
California
$1.8B +$16.6M +309,632 +1%
Lazard Asset Management
17
Lazard Asset Management
New York
$1.64B +$69.8M +1,298,445 +5%
Nuveen
18
Nuveen
North Carolina
$1.59B -$210M -3,897,119 -12%
UBS Group
19
UBS Group
Switzerland
$1.49B +$184M +3,414,849 +15%
Charles Schwab
20
Charles Schwab
California
$1.46B +$68.4M +1,272,545 +5%
Legal & General Group
21
Legal & General Group
United Kingdom
$1.37B +$28.6M +531,182 +2%
California Public Employees Retirement System
22
California Public Employees Retirement System
California
$1.36B +$9.42M +175,141 +0.7%
Royal Bank of Canada
23
Royal Bank of Canada
Ontario, Canada
$1.34B +$32.3M +601,229 +3%
Goldman Sachs
24
Goldman Sachs
New York
$1.26B +$229M +4,267,593 +23%
Invesco
25
Invesco
Georgia
$1.22B -$46.7M -867,998 -4%