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Philip Morris

Name Holding Trade Value Shares
Change
Change in
Stake
Vanguard Group
1
Vanguard Group
Pennsylvania
$12.4B +$122M +1,269,844 +1%
BlackRock
2
BlackRock
New York
$9.06B +$127M +1,318,842 +1%
Capital World Investors
3
Capital World Investors
California
$7.99B +$87.4M +910,774 +1%
Capital International Investors
4
Capital International Investors
California
$7.39B +$442M +4,609,738 +7%
Capital Research Global Investors
5
Capital Research Global Investors
California
$5.63B -$637M -6,642,979 -10%
State Street
6
State Street
Massachusetts
$5.46B +$73.5M +765,685 +1%
Morgan Stanley
7
Morgan Stanley
New York
$4.43B +$11.5M +120,060 +0.3%
Geode Capital Management
8
Geode Capital Management
Massachusetts
$2.6B +$91.9M +958,285 +4%
JP Morgan Chase
9
JP Morgan Chase
New York
$2.52B +$247M +2,572,644 +11%
Wellington Management Group
10
Wellington Management Group
Massachusetts
$2.37B -$54.1M -563,500 -2%
Bank of New York Mellon
11
Bank of New York Mellon
New York
$1.97B -$64.6M -672,877 -3%
Fundsmith LLP
12
Fundsmith LLP
United Kingdom
$1.92B -$3.35M -34,952 -0.2%
Royal Bank of Canada
13
Royal Bank of Canada
Ontario, Canada
$1.85B +$1.04B +10,849,078 +139%
Invesco
14
Invesco
Georgia
$1.84B -$66.4M -692,170 -4%
Ameriprise
15
Ameriprise
Minnesota
$1.82B -$8.7M -90,722 -0.5%
T. Rowe Price Associates
16
T. Rowe Price Associates
Maryland
$1.6B -$317M -3,301,271 -17%
Northern Trust
17
Northern Trust
Illinois
$1.46B -$25.5M -265,281 -2%
Bank of America
18
Bank of America
North Carolina
$1.44B -$40.8M -425,726 -3%
Fayez Sarofim & Co
19
Fayez Sarofim & Co
Texas
$1.35B -$4.24M -44,209 -0.3%
Charles Schwab
20
Charles Schwab
California
$1.2B +$96.7M +1,007,953 +9%
GQG Partners
21
GQG Partners
Florida
$1.16B +$122M +1,269,102 +12%
Nuveen
22
Nuveen
North Carolina
$1.06B -$5.49M -57,218 -0.5%
First Eagle Investment Management
23
First Eagle Investment Management
New York
$1.04B -$477K -4,971 -0%
Franklin Resources
24
Franklin Resources
California
$1.03B +$115M +1,203,694 +13%
IFP
25
Independent Franchise Partners
United Kingdom
$1.02B -$18.7M -195,204 -2%