StockScan > Holders > Ameriprise Financial

Ameriprise Financial's Portfolio and 13F Filing

Value: $297.73B
CIK: 0000820027
Phone: 617-385-9594
Address: 1099 Ameriprise Financial Center, Minneapolis, MN (55474)
Latest 13F Filing:
Ameriprise Financial's Stock Holdings & 13F Form
# Stock Name Symbol Current Price

Previous Holdings

(# Shares)

Current Holdings

(# Shares)

Current Value Percent
1 Microsoft Corporation MSFT $399.12 37,730,842

37,612,110

up arrow -118,732

$15,011,745,343 5.04%
2 Apple Inc. AAPL $165.00 68,004,802

62,661,862

up arrow -5,342,940

$10,339,207,230 3.47%
3 BROADCOM CORP COM USD1.00 AVGO $1,204.71 6,350,765

6,322,497

up arrow -28,268

$7,616,775,361 2.56%
4 Eli Lilly and Company LLY $726.31 6,143,902

7,440,909

up arrow 1,297,007

$5,404,406,616 1.82%
5 Lam Research Corporation LRCX $870.25 6,050,253

5,285,039

up arrow -765,214

$4,599,305,190 1.54%
6 JP Morgan Chase & Co. JPM $185.80 24,640,585

22,009,626

up arrow -2,630,959

$4,089,388,511 1.37%
7 Johnson & Johnson JNJ $147.91 19,347,851

19,968,998

up arrow 621,147

$2,953,614,494 0.99%
8 Mastercard Incorporated MA $455.39 6,230,342

6,321,739

up arrow 91,397

$2,878,856,723 0.97%
9 NVIDIA Corporation NVDA $762.00 3,821,751

3,758,125

up arrow -63,626

$2,863,691,250 0.96%
10 Applied Materials, Inc. AMAT $189.77 15,686,287

15,025,908

up arrow -660,379

$2,851,466,561 0.96%
11 Visa Inc. V $269.78 10,077,525

9,671,454

up arrow -406,071

$2,609,164,860 0.88%
12 Cisco Systems, Inc. CSCO $48.32 53,441,218

53,635,991

up arrow 194,773

$2,591,691,085 0.87%
13 Chevron Corporation CVX $160.00 15,090,756

15,958,620

up arrow 867,864

$2,553,379,200 0.86%
14 iShares Core S&P 500 ETF IVV $497.53 4,477,381

5,068,944

up arrow 591,563

$2,521,951,708 0.85%
15 Facebook, Inc. FB $208.28 11,991,279

11,906,548

up arrow -84,731

$2,479,895,817 0.83%
16 The Home Depot Inc HD $335.36 7,069,195

7,372,046

up arrow 302,851

$2,472,289,347 0.83%
17 Union Pacific Corporation UNP $232.08 9,977,566

10,621,445

up arrow 643,879

$2,465,024,956 0.83%
18 Eaton Corporation, PLC Ordinary ETN $303.02 7,869,428

7,608,291

up arrow -261,137

$2,305,464,339 0.77%
19 UnitedHealth Group Incorporated UNH $501.13 4,746,710

4,514,411

up arrow -232,299

$2,262,306,784 0.76%
20 Merck & Company, Inc. (new) MRK $125.78 18,805,704

17,394,157

up arrow -1,411,547

$2,187,837,067 0.73%