StockScan > Holders > Bank Of America Corp

Bank Of America Corp's Portfolio and 13F Filing

Value: $693.55B
Website:
CIK: 0000070858
Phone: 980-254-4395
Address: Bank Of America Corporate Center, Charlotte, NC (28255)
Latest 13F Filing:
Bank Of America Corp's Stock Holdings & 13F Form
# Stock Name Symbol Current Price

Previous Holdings

(# Shares)

Current Holdings

(# Shares)

Current Value Percent
61 iShares Core S&P U.S. Value ETF IUSV $67.66 42,732,865

42,732,865

up arrow 0

$2,891,305,646 0.42%
62 AbbVie Inc. ABBV $153.80 18,301,074

18,301,074

up arrow 0

$2,814,705,181 0.41%
63 Vanguard Mid-Cap ETF VO $199.59 13,773,951

13,773,951

up arrow 0

$2,749,142,880 0.40%
64 General Electric Company GE $63.54 42,706,214

42,706,214

up arrow 0

$2,713,552,838 0.39%
65 Abbott Laboratories ABT $110.22 24,259,367

24,259,367

up arrow 0

$2,673,867,431 0.39%
66 Tesla, Inc. TSLA $681.79 3,867,184

3,867,184

up arrow 0

$2,636,607,379 0.38%
67 iShares Core S&P Mid-Cap ETF IJH $229.05 11,448,348

11,448,348

up arrow 0

$2,622,244,109 0.38%
68 SPDR Select Sector Fund - Energ XLE $72.58 36,125,271

36,125,271

up arrow 0

$2,621,972,169 0.38%
69 iShares Core S&P U.S. Growth ET IUSG $84.24 30,698,279

30,698,279

up arrow 0

$2,586,023,023 0.37%
70 SPDR Select Sector Fund - Finan XLF $31.88 79,971,686

79,971,686

up arrow 0

$2,549,497,350 0.37%
71 Comcast Corporation CMCSA $40.29 63,008,066

63,008,066

up arrow 0

$2,538,594,979 0.37%
72 Bristol-Myers Squibb Company BMY $76.84 32,923,710

32,923,710

up arrow 0

$2,529,857,876 0.36%
73 Walt Disney Company (The) DIS $96.14 25,955,077

25,955,077

up arrow 0

$2,495,321,103 0.36%
74 iShares Edge MSCI Min Vol USA ETF USMV $71.06 34,519,759

34,519,759

up arrow 0

$2,452,974,075 0.35%
75 Citigroup, Inc. C $46.87 51,900,699

51,900,699

up arrow 0

$2,432,585,762 0.35%
76 Lowe's Companies, Inc. LOW $177.36 13,699,004

13,699,004

up arrow 0

$2,429,655,349 0.35%
77 iShares MSCI EAFE ETF EFA $62.64 37,710,311

37,710,311

up arrow 0

$2,362,173,881 0.34%
78 Zoetis Inc. Class A ZTS $174.21 13,414,948

13,414,948

up arrow 0

$2,337,018,091 0.34%
79 Truist Financial Corporation TFC $48.20 45,315,387

45,315,387

up arrow 0

$2,184,201,653 0.31%
80 Medtronic plc. Ordinary Shares MDT $91.38 23,519,924

23,519,924

up arrow 0

$2,149,250,655 0.31%