StockScan > Holders > Wellington Management Group

Wellington Management Group's Portfolio and 13F Filing

Value: $508.05B
CIK: 0000902219
Phone: 617-263-4403
Address: C/O Wellington Management Company Llp, Boston, MA (02210)
Latest 13F Filing:
Wellington Management Group's Stock Holdings & 13F Form
# Stock Name Symbol Current Price

Previous Holdings

(# Shares)

Current Holdings

(# Shares)

Current Value Percent
1 Microsoft Corporation MSFT $313.39 65,511,886

65,511,886

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$20,530,769,954 4.04%
2 Eli Lilly and Company LLY $525.19 33,148,352

33,148,352

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$17,409,182,987 3.43%
3 Apple Inc. AAPL $172.40 99,988,379

99,988,379

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$17,237,996,540 3.39%
4 UnitedHealth Group Incorporated UNH $509.47 33,778,311

33,778,311

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$17,209,036,105 3.39%
5 TJX Companies, Inc. (The) TJX $87.85 100,370,181

100,370,181

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$8,817,520,401 1.74%
6 McDonald's Corporation MCD $254.49 33,222,854

33,222,854

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$8,454,884,114 1.66%
7 Pfizer, Inc. PFE $33.90 246,491,974

246,491,974

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$8,356,077,919 1.64%
8 JP Morgan Chase & Co. JPM $142.71 58,253,693

58,253,693

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$8,313,384,528 1.64%
9 The Procter Gamble Company PG $145.49 51,078,041

51,078,041

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$7,431,344,185 1.46%
10 American Express Company AXP $145.05 40,741,506

40,741,506

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$5,909,555,445 1.16%
11 Chubb Limited CB $204.91 27,670,712

27,670,712

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$5,670,005,596 1.12%
12 Johnson & Johnson JNJ $155.34 35,424,217

35,424,217

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$5,502,797,869 1.08%
13 Coca-Cola Company (The) KO $54.88 99,561,232

99,561,232

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$5,463,920,412 1.08%
14 Facebook, Inc. FB $208.28 25,483,982

25,483,982

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$5,307,803,771 1.04%
15 Comcast Corporation CMCSA $43.45 122,068,262

122,068,262

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$5,303,865,984 1.04%
16 The Home Depot Inc HD $291.94 16,522,631

16,522,631

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$4,823,616,894 0.95%
17 Progressive Corporation (The) PGR $139.40 34,012,839

34,012,839

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$4,741,389,757 0.93%
18 Bank of America Corporation BAC $25.91 177,377,653

177,377,653

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$4,595,854,989 0.90%
19 Danaher Corporation DHR $215.70 21,235,495

21,235,495

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$4,580,496,272 0.90%
20 Cisco Systems, Inc. CSCO $53.65 83,868,156

83,868,156

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$4,499,526,569 0.89%