StockScan > Holders > Ubs Asset Management Americas

Ubs Asset Management Americas's Portfolio and 13F Filing

Value: $221.98B
CIK: 0000861177
Phone: 212-882-5367
Address: One North Wacker Drive, Chicago, IL (60606)
Latest 13F Filing:
Ubs Asset Management Americas's Stock Holdings & 13F Form
# Stock Name Symbol Current Price

Previous Holdings

(# Shares)

Current Holdings

(# Shares)

Current Value Percent
41 Oracle Corporation ORCL $115.34 8,438,252

8,630,309

up arrow 192,057

$995,419,840 0.45%
42 Abbott Laboratories ABT $106.89 8,507,561

9,214,457

up arrow 706,896

$984,933,309 0.44%
43 Linde plc Ordinary Share LIN $444.32 2,378,712

2,175,110

up arrow -203,602

$966,444,875 0.44%
44 Cisco Systems, Inc. CSCO $48.35 18,546,663

19,544,931

up arrow 998,268

$944,997,414 0.43%
45 Amgen Inc. AMGN $273.01 3,347,273

3,418,659

up arrow 71,386

$933,328,094 0.42%
46 NextEra Energy, Inc. NEE $66.56 3,529,584

13,154,928

up arrow 9,625,344

$875,592,008 0.39%
47 Hess Corporation HES $159.13 8,419,762

5,470,087

up arrow -2,949,675

$870,454,944 0.39%
48 Ameriprise Financial, Inc. AMP $412.86 2,025,547

2,087,388

up arrow 61,841

$861,799,010 0.39%
49 Cadence Design Systems, Inc. CDNS $277.66 1,792,850

3,095,513

up arrow 1,302,663

$859,500,140 0.39%
50 Netflix, Inc. NFLX $555.12 1,378,714

1,545,314

up arrow 166,600

$857,834,708 0.39%
51 Texas Instruments Incorporated TXN $174.81 4,657,837

4,823,515

up arrow 165,678

$843,198,657 0.38%
52 Vertex Pharmaceuticals Incorpor VRTX $400.76 1,614,043

2,087,167

up arrow 473,124

$836,453,047 0.38%
53 Intel Corporation INTC $34.50 19,278,079

23,927,959

up arrow 4,649,880

$825,514,586 0.37%
54 Advanced Micro Devices, Inc. AMD $151.74 5,841,883

5,396,275

up arrow -445,608

$818,830,769 0.37%
55 QUALCOMM Incorporated QCOM $163.63 4,638,021

4,986,558

up arrow 348,537

$815,950,486 0.37%
56 Marathon Petroleum Corporation MPC $199.14 3,244,127

4,065,308

up arrow 821,181

$809,565,435 0.36%
57 American Express Company AXP $239.12 4,441,248

3,279,455

up arrow -1,161,793

$784,183,280 0.35%
58 McDonald's Corporation MCD $276.75 2,639,959

2,818,815

up arrow 178,856

$780,107,051 0.35%
59 Danaher Corporation DHR $250.41 4,283,160

3,101,671

up arrow -1,181,489

$776,689,435 0.35%
60 Comcast Corporation CMCSA $40.21 22,157,293

18,720,052

up arrow -3,437,241

$752,733,291 0.34%