Blackrock's Portfolio and 13F Filing

Value: $2.83T
CIK: 0001364742
Phone: 212-810-5300
Address: 55 East 52nd Street, New York, NY (10055)
Latest 13F Filing:
Blackrock's Stock Holdings & 13F Form
# Stock Name Symbol Current Price

Previous Holdings

(# Shares)

Current Holdings

(# Shares)

Current Value Percent
21 Chevron Corporation CVX $146.51 129,212,109

126,822,239

up arrow -2,389,870

$18,580,726,236 0.66%
22 Coca-Cola Company (The) KO $64.38 298,038,286

282,886,318

up arrow -15,151,968

$18,212,221,153 0.64%
23 Merck & Company, Inc. (new) MRK $92.42 197,558,293

196,213,804

up arrow -1,344,489

$18,134,079,766 0.64%
24 Pepsico, Inc. PEP $169.39 103,902,587

100,057,368

up arrow -3,845,219

$16,948,717,566 0.60%
25 Thermo Fisher Scientific Inc TMO $548.27 28,955,941

29,504,221

up arrow 548,280

$16,176,279,248 0.57%
26 Bank of America Corporation BAC $31.56 532,618,915

511,592,864

up arrow -21,026,051

$16,145,870,788 0.57%
27 Verizon Communications Inc. VZ $51.64 310,048,142

298,750,519

up arrow -11,297,623

$15,427,476,801 0.54%
28 Abbott Laboratories ABT $110.22 134,745,433

133,426,810

up arrow -1,318,623

$14,706,302,998 0.52%
29 Cisco Systems, Inc. CSCO $42.60 317,702,210

327,697,698

up arrow 9,995,488

$13,959,921,935 0.49%
30 Costco Wholesale Corporation COST $485.76 30,356,134

28,684,232

up arrow -1,671,902

$13,933,652,536 0.49%
31 Adobe Inc. ADBE $368.48 38,069,522

37,765,781

up arrow -303,741

$13,915,934,983 0.49%
32 Bristol-Myers Squibb Company BMY $76.84 163,642,418

172,464,804

up arrow 8,822,386

$13,252,195,539 0.47%
33 Accenture plc Class A Ordinary ACN $280.65 45,961,228

46,169,055

up arrow 207,827

$12,957,345,286 0.46%
34 Comcast Corporation CMCSA $40.29 317,105,352

319,455,276

up arrow 2,349,924

$12,870,853,070 0.45%
35 McDonald's Corporation MCD $252.96 51,419,655

50,747,763

up arrow -671,892

$12,837,154,128 0.45%
36 BROADCOM CORP COM USD1.00 AVGO $477.84 26,151,390

26,016,338

up arrow -135,052

$12,431,646,950 0.44%
37 NextEra Energy, Inc. NEE $80.56 38,146,227

152,456,175

up arrow 114,309,948

$12,281,869,458 0.43%
38 Danaher Corporation DHR $258.05 45,089,961

45,709,313

up arrow 619,352

$11,795,288,220 0.42%
39 Amgen Inc. AMGN $245.55 48,729,584

47,805,794

up arrow -923,790

$11,738,712,717 0.41%
40 iShares Core MSCI Total Interna IXUS $56.99 201,769,507

205,393,728

up arrow 3,624,221

$11,705,388,559 0.41%