StockScan > Holders > Ubs Asset Management Americas

Ubs Asset Management Americas's Portfolio and 13F Filing

Value: $230.93B
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
121 United Parcel Service, Inc. UPS $149.24 2,398,124

2,574,413

up arrow 176,289

$384,205,396 0.17%
122 Amazon.com, Inc. AMZN $184.70 2,121,422

2,072,782

up arrow -48,640

$382,842,835 0.17%
123 The Travelers Companies, Inc. TRV $219.71 1,563,127

1,725,577

up arrow 162,450

$379,126,523 0.16%
124 American Tower Corporation (REI AMT $194.51 2,159,470

1,948,406

up arrow -211,064

$378,984,451 0.16%
125 United Rentals, Inc. URI $685.79 425,273

551,424

up arrow 126,151

$378,161,065 0.16%
126 CF Industries Holdings, Inc. CF $76.22 4,585,337

4,933,055

up arrow 347,718

$375,997,452 0.16%
127 Cummins Inc. CMI $285.56 1,225,837

1,296,030

up arrow 70,193

$370,094,327 0.16%
128 Bunge Limited BG $103.09 4,026,599

3,580,510

up arrow -446,089

$369,114,776 0.16%
129 Pinduoduo Inc. PDD $146.19 1,788,515

2,511,608

up arrow 723,093

$367,171,974 0.16%
130 Schlumberger N.V. SLB $48.59 7,218,096

7,488,838

up arrow 270,742

$363,882,638 0.16%
131 W.W. Grainger, Inc. GWW $945.66 353,235

382,810

up arrow 29,575

$362,008,105 0.16%
132 Welltower Inc. WELL $101.29 3,155,760

3,551,274

up arrow 395,514

$359,708,543 0.16%
133 MetLife, Inc. MET $74.22 4,583,788

4,810,267

up arrow 226,479

$357,018,017 0.15%
134 Electronic Arts Inc. EA $127.75 2,558,085

2,764,033

up arrow 205,948

$353,105,216 0.15%
135 Keysight Technologies Inc. KEYS $157.30 1,359,253

2,238,240

up arrow 878,987

$352,075,152 0.15%
136 Aptiv PLC Ordinary Shares APTV $82.11 4,141,507

4,260,367

up arrow 118,860

$349,818,734 0.15%
137 PNC Financial Services Group, I PNC $160.35 2,033,270

2,167,514

up arrow 134,244

$347,560,870 0.15%
138 Autodesk, Inc. ADSK $221.21 1,446,264

1,570,067

up arrow 123,803

$347,314,521 0.15%
139 Analog Devices, Inc. ADI $214.08 1,639,149

1,616,929

up arrow -22,220

$346,152,160 0.15%
140 Emerson Electric Company EMR $112.88 2,408,750

3,058,573

up arrow 649,823

$345,251,720 0.15%