StockScan > Holders > Goldman Sachs Group

Goldman Sachs Group's Portfolio and 13F Filing

Value: $384.08B
CIK: 0000886982
Phone: 9723686370
Address: 200 West Street, New York, NY (10282)
Latest 13F Filing:
Goldman Sachs Group's Stock Holdings & 13F Form
# Stock Name Symbol Current Price

Previous Holdings

(# Shares)

Current Holdings

(# Shares)

Current Value Percent
121 iShares Core U.S. Aggregate Bon AGG $95.33 4,349,470

6,034,501

up arrow 1,685,031

$575,268,980 0.15%
122 Target Corporation TGT $164.74 4,637,210

3,469,778

up arrow -1,167,432

$571,611,228 0.15%
123 The Middleby Corporation MIDD $141.25 4,309,419

4,038,781

up arrow -270,638

$570,477,816 0.15%
124 KLA-Tencor Corporation KLAC $706.26 709,436

798,375

up arrow 88,939

$563,860,328 0.15%
125 Dick's Sporting Goods Inc DKS $207.12 398,776

2,670,480

up arrow 2,271,704

$553,109,818 0.14%
126 NextEra Energy, Inc. NEE $65.99 2,838,165

8,307,102

up arrow 5,468,937

$548,185,661 0.14%
127 iShares MSCI Eurozone ETF EZU $50.15 9,910,804

10,825,494

up arrow 914,690

$542,898,524 0.14%
128 Fidelity National Information S FIS $69.60 7,414,584

7,755,616

up arrow 341,032

$539,790,874 0.14%
129 Walmart Inc. WMT $60.16 7,809,746

8,929,408

up arrow 1,119,662

$537,193,185 0.14%
130 iShares S&P 500 Value ETF IVE $180.15 2,794,214

2,969,018

up arrow 174,804

$534,868,593 0.14%
131 Intel Corporation INTC $31.88 20,424,422

16,702,183

up arrow -3,722,239

$532,465,594 0.14%
132 MGIC Investment Corporation MTG $20.48 21,664,061

25,915,814

up arrow 4,251,753

$530,755,871 0.14%
133 SPDR Select Sector Fund - Consu XLP $75.59 4,245,035

6,721,328

up arrow 2,476,293

$508,065,184 0.13%
134 CME Group Inc. CME $210.94 2,391,619

2,406,125

up arrow 14,506

$507,548,008 0.13%
135 Pioneer Natural Resources Compa PXD $268.87 2,768,298

1,879,705

up arrow -888,593

$505,396,283 0.13%
136 Prologis, Inc. PLD $104.06 4,602,692

4,742,351

up arrow 139,659

$493,489,045 0.13%
137 Analog Devices, Inc. ADI $201.97 2,934,873

2,363,411

up arrow -571,462

$477,338,120 0.12%
138 TJX Companies, Inc. (The) TJX $96.36 3,839,671

4,947,239

up arrow 1,107,568

$476,715,950 0.12%
139 iShares S&P 500 Growth ETF IVW $82.53 1,442,645

5,764,797

up arrow 4,322,152

$475,768,696 0.12%
140 Chubb Limited CB $245.45 1,590,092

1,926,526

up arrow 336,434

$472,865,807 0.12%