13FBOX
BlackRock Finance, Inc. · 13F Holdings
Options Calculator Rankings

BlackRock Finance, Inc.

No.111 Data as of 2020Q1
Latest AUM (Q1 2020)
$2.04T
QoQ Change Q4 2019
-$562.89B-21.6%
Holdings
4878
New Buys
166
Adds
1939
Reduces
2519
Exits
164
Unchanged
254
Holdings Value Trend
Holdings by Sector
Stock Ownership TrendPortfolio %Prev Q %Q1 2020 ValueQ1 2020 SharesPrev Q ValuePrev Q SharesShares ChangeAction
MICROSOFT CORPMSFT
4%3.12%$81.68B517.9M$81.25B515.2M+2.7M+0.52%Add
APPLE INCAAPL
3.42%3.13%$69.85B274.7M$81.57B277.8M-3.1M-1.11%Reduce
AMAZON COM INCAMZN
2.59%1.89%$52.88B27.1M$49.35B26.7M+414,015+1.55%Add
META PLATFORMS INCMETA
1.3%1.24%$26.61B159.5M$32.29B157.3M+2.2M+1.38%Add
JOHNSON & JOHNSONJNJ
1.24%1.08%$25.25B192.5M$28.16B193.1M-525,473-0.27%Reduce
AAlphabet Inc Class CGOOG
1.15%1.02%$23.56B20.3M$26.70B20.0M+295,467+1.48%Add
ALPHABET INCGOOGL
1.14%1.01%$23.36B20.1M$26.37B19.7M+409,793+2.08%Add
BERKSHIRE HATHAWAY INC DELBRK.B
0.98%0.96%$20.09B109.9M$24.94B110.1M-242,283-0.22%Reduce
VISA INCV
0.97%0.9%$19.89B123.5M$23.53B125.2M-1.8M-1.42%Reduce
JPMORGAN CHASE & COJPM
0.9%1.12%$18.40B204.4M$29.10B208.7M-4.3M-2.07%Reduce
PROCTER & GAMBLE COPG
0.89%0.81%$18.10B164.5M$21.00B168.2M-3.6M-2.17%Reduce
UNITEDHEALTH GROUP INCUNH
0.86%0.77%$17.51B70.2M$20.07B68.3M+1.9M+2.83%Add
ALIBABA GROUP HLDG LTDBABA
0.84%0.73%$17.15B88.2M$18.92B89.2M-1.0M-1.14%Reduce
INTEL CORPINTC
0.82%0.69%$16.85B311.4M$18.12B302.7M+8.7M+2.86%Add
VERIZON COMMUNICATIONS INCVZ
0.82%0.75%$16.75B311.7M$19.48B317.2M-5.5M-1.75%Reduce
MASTERCARD INCORPORATEDMA
0.79%0.76%$16.16B66.9M$19.83B66.4M+470,845+0.71%Add
MERCK & CO INCMRK
0.74%0.67%$15.11B196.3M$17.35B190.8M+5.6M+2.92%Add
IISHARES TRIVV
0.71%0.67%$14.41B55.8M$17.39B53.8M+2.0M+3.71%Add
AAT&T INCT
0.7%0.77%$14.39B493.7M$20.04B512.9M-19.2M-3.75%Reduce
PFIZER INCPFE
0.68%0.64%$13.84B424.1M$16.70B426.2M-2.2M-0.51%Reduce
HOME DEPOT INCHD
0.66%0.6%$13.52B72.4M$15.73B72.0M+366,542+0.51%Add
PEPSICO INCPEP
0.64%0.56%$13.10B109.1M$14.54B106.4M+2.7M+2.56%Add
CISCO SYS INCCSCO
0.62%0.58%$12.70B323.2M$15.21B317.2M+6.0M+1.88%Add
COCA COLA COKO
0.6%0.58%$12.36B279.3M$15.17B274.1M+5.2M+1.90%Add
ADOBE INC COMADBE
0.57%0.43%$11.60B36.4M$11.29B34.2M+2.2M+6.49%Add
BBANK OF AMER CORPBAC
0.56%0.73%$11.51B542.0M$18.94B537.9M+4.1M+0.77%Add
NVIDIA CORPORATIONNVDA
0.55%0.36%$11.27B42.8M$9.49B40.3M+2.4M+6.05%Add
DISNEY WALT CODIS
0.54%0.62%$11.10B114.9M$16.29B112.7M+2.3M+2.00%Add
COMCAST CORP NEW CL ACMCSA
0.54%0.55%$11.07B322.0M$14.46B321.5M+482,314+0.15%Add
EXXON MOBIL CORPXOM
0.54%0.76%$10.96B288.5M$19.72B282.6M+5.9M+2.09%Add
SSTATE STR SPDR S&P 500 ETF TSPY
0.53%0.49%$10.79B41.9M$12.75B39.6M+2.3M+5.68%Add
NETFLIX INCNFLX
0.52%0.34%$10.67B28.4M$8.81B27.2M+1.2M+4.35%Add
WALMART INCWMT
0.5%0.41%$10.25B90.2M$10.69B90.0M+210,010+0.23%Add
ABBOTT LABORATORIESABT
0.49%0.42%$10.11B128.1M$10.83B124.7M+3.4M+2.72%Add
CHEVRON CORPORATIONCVX
0.47%0.59%$9.67B133.4M$15.33B127.2M+6.2M+4.88%Add
MEDTRONIC PLCMDT
0.47%0.48%$9.64B106.9M$12.43B109.6M-2.7M-2.47%Reduce
NNEXTERA ENERGY INCNEE
0.47%0.37%$9.60B39.9M$9.65B39.9M+48,321+0.12%Add
BRISTOL-MYERS SQUIBB COBMY
0.46%0.42%$9.50B170.5M$11.00B171.3M-856,868-0.50%Reduce
AMGEN INC COMAMGN
0.46%0.43%$9.42B46.5M$11.15B46.3M+205,870+0.45%Add
IISHARES TRIXUS
0.45%0.41%$9.29B197.6M$10.80B174.5M+23.1M+13.24%Add
SALESFORCE INCCRM
0.45%0.39%$9.18B63.8M$10.28B63.2M+538,602+0.85%Add
ELI LILLY & COLLY
0.44%0.31%$8.92B64.3M$8.00B60.9M+3.4M+5.62%Add
MCDONALDS CORPMCD
0.43%0.41%$8.78B53.1M$10.58B53.5M-410,116-0.77%Reduce
COSTCO WHOLESALE CORPORATIONCOST
0.39%0.32%$8.01B28.1M$8.44B28.7M-615,311-2.14%Reduce
WELLS FARGO CO NEWWFC
0.39%0.57%$7.88B274.4M$14.92B277.4M-2.9M-1.06%Reduce
ABBVIE INCABBV
0.38%0.33%$7.72B101.4M$8.73B98.6M+2.8M+2.83%Add
TTHERMO FISHER SCIENTIFIC INCTMO
0.37%0.35%$7.66B27.0M$9.16B28.2M-1.2M-4.17%Reduce
GGILEAD SCIENCES INC COMGILD
0.37%0.27%$7.57B101.2M$6.92B106.5M-5.3M-4.94%Reduce
NIKE INCNKE
0.37%0.35%$7.53B91.0M$9.07B89.5M+1.5M+1.66%Add
ORACLE CORPORCL
0.36%0.32%$7.38B152.7M$8.32B157.0M-4.3M-2.72%Reduce

🧭 Institutional Sector Flow Heatmap

Net Outflow Net Inflow