StockScan > Holders > Pnc Financial Services Group

Pnc Financial Services Group's Portfolio and 13F Filing

Value: $137.67B
CIK: 0000713676
Phone: (888) 762-2265
Address: The Tower At Pnc Plaza, Pittsburgh, PA (15222-2401)
Latest 13F Filing:
Pnc Financial Services Group's Stock Holdings & 13F Form
# Stock Name Symbol Current Price

Previous Holdings

(# Shares)

Current Holdings

(# Shares)

Current Value Percent
61 Pfizer, Inc. PFE $27.81 15,694,502

14,659,305

up arrow -1,035,197

$407,675,272 0.30%
62 iShares Core Dividend Growth ET DGRO $56.49 6,990,277

7,062,320

up arrow 72,043

$398,950,457 0.29%
63 iShares Core MSCI Emerging Mark IEMG $53.44 7,067,467

7,411,265

up arrow 343,798

$396,058,002 0.29%
64 Coca-Cola Company (The) KO $62.17 6,400,194

6,326,311

up arrow -73,883

$393,306,755 0.29%
65 Fidelity MSCI Real Estate Index FREL $24.52 14,477,806

15,892,422

up arrow 1,414,616

$389,682,187 0.28%
66 Eaton Corporation, PLC Ordinary ETN $320.50 1,198,737

1,204,187

up arrow 5,450

$385,941,934 0.28%
67 Lam Research Corporation LRCX $908.53 418,640

418,796

up arrow 156

$380,488,730 0.28%
68 Automatic Data Processing, Inc. ADP $241.89 1,537,514

1,569,823

up arrow 32,309

$379,724,485 0.28%
69 Bank of America Corporation BAC $37.25 10,360,045

9,799,242

up arrow -560,803

$365,021,765 0.27%
70 Stryker Corporation SYK $328.45 1,128,025

1,108,186

up arrow -19,839

$363,983,692 0.26%
71 Vanguard Mid-Cap Growth ETF VOT $227.32 1,586,242

1,564,092

up arrow -22,150

$355,549,393 0.26%
72 Verizon Communications Inc. VZ $38.89 9,283,163

9,134,876

up arrow -148,287

$355,255,328 0.26%
73 Lockheed Martin Corporation LMT $461.91 786,661

754,155

up arrow -32,506

$348,351,736 0.25%
74 Intel Corporation INTC $30.90 12,954,866

11,249,919

up arrow -1,704,947

$347,622,497 0.25%
75 Comcast Corporation CMCSA $38.69 8,830,964

8,835,092

up arrow 4,128

$341,829,709 0.25%
76 Quanta Services, Inc. PWR $256.33 1,112,170

1,315,071

up arrow 202,901

$337,092,149 0.24%
77 Mastercard Incorporated MA $443.58 733,356

726,620

up arrow -6,736

$322,314,100 0.23%
78 Bristol-Myers Squibb Company BMY $43.99 7,166,811

7,065,593

up arrow -101,218

$310,815,436 0.23%
79 Vanguard Real Estate ETF VNQ $81.30 3,848,560

3,800,425

up arrow -48,135

$308,974,553 0.22%
80 Honeywell International Inc. HON $195.81 1,680,345

1,536,137

up arrow -144,208

$300,790,986 0.22%