Blackrock 13F annual report (2024) – wallmine.com (2024)

Blackrock is an investment fund managing more than $3.9 quadrillion ran by /s/ Fleming.There are currently 4635 companies in Fleming’s portfolio.The largest investments include Microsoft and Apple Inc, together worth $403 trillion.

Limited to 30 biggest holdings

$3.9 quadrillion Assets Under Management (AUM)

As of 6th February 2024, Blackrock’s top holding is 538,937,099 shares of Microsoft currently worth over $203 trillion and making up 5.2% of the portfolio value.Relative to the number of outstanding shares of Microsoft, Blackrock owns less than approximately 0.1% of the company.In addition, the fund holds 1,042,391,808 shares of Apple Inc worth $201 trillion, whose value fell approximately 0.1% in the past six months.The third-largest holding is Amazon.com worth $95.3 trillion and the next is NVIDIA Corp worth $89 trillion, with 179,678,390 shares owned.

Currently, Blackrock's portfolio is worth at least $3.9 quadrillion. The total portfolio value may be much higher due to cashassets that are not publicly disclosed such as fixed income, real estate, or cash equivalents.

Careers at Blackrock

The Blackrock office and employees reside in New York, New York.According to the last 13-F report filed with the SEC, /s/ Fleming serves as the Attorney-In-Fact pursuant to PoA date April 2023 at Blackrock.

Recent trades

In the most recent 13F filing, Blackrock revealed that it had opened a new position inBunge Global SA and bought 14,311,562 shares worth $1.44 trillion.This means they effectively own approximately 0.1% of the company.Bunge Global SA makes up1.2%of the fund's Consumer Staples sector allocation and has decreased its share price by 7.7% in the past year.

The investment fund also strengthened its position in Microsoft by buying5,302,493 additional shares.This makes their stake in Microsoft total 538,937,099 shares worth $203 trillion.Microsoft soared 53.1% in the past year.

On the other hand, there are companies that Blackrock is getting rid of from its portfolio.Blackrock closed its position in Activision Blizzard Inc on 13th February 2024.It sold the previously owned 54,974,647 shares for $5.15 trillion./s/ Fleming also disclosed a decreased stake in NVIDIA Corp by approximately 0.1%.This leaves the value of the investment at $89 trillion and 179,678,390 shares.

2nd largest hedge fund

The two most similar investment funds to Blackrock are Vanguard Group Inc and State Street Corp.They manage$4.07 quadrillion and $1.8 quadrillion respectively.


/s/ Fleming investment strategy

Blackrock’s portfolio is diversified across 13 sectors.Currently, their heaviest sector is Technology — making up 22.0% ofthe total portfolio value.The fund focuses on investments in the United States as47.4% of the portfolio companiesare based in the United States.

The majority of the companies in the fund’s portfolio are large-cap stocks.Stocks with a size of more than $10 billion in market cap make up10% of the total holdings value.On the other hand, small-cap stocks make up only 8.4% of the portfolio.The average market cap of the portfolio companies is close to $13.5 billion.

The complete list of Blackrock trades based on 13F SEC filings

These positions were updated on February 13th based on the fund’s latest 13F filing.Quickly find out what the most recently closed or increased positions are.

  • All positions
  • Opened
  • Bought
  • Closed
  • Sold
SecurityShares OwnedValueAllocation
Microsoft Corporation

0.99%

538,937,099

$202,661,906,503,0005.19%
Apple Inc

1.06%

1,042,391,808

$200,691,694,824,0005.14%
Amazon.com Inc.

2.25%

627,171,762

$95,292,477,513,0002.44%
NVIDIA Corp

0.02%

179,678,390

$88,980,331,902,0002.28%
Alphabet Inc

0.84%

770,420,817

$108,060,820,246,0002.77%
Meta Platforms Inc

0.99%

157,506,624

$55,751,044,538,0001.43%
Tesla Inc

0.82%

188,183,433

$46,759,819,449,0001.20%
Broadcom Inc.

10.13%

34,699,799

$38,733,650,833,0000.99%
Unitedhealth Group Inc

0.75%

72,376,243

$38,103,920,724,0000.98%
Berkshire Hathaway Inc.

1.19%

105,223,573

$38,004,608,899,0000.97%
Eli Lilly & Co

1.99%

64,366,433

$37,520,480,985,0000.96%
Visa Inc

1.23%

126,432,887

$32,916,802,027,0000.84%
Ishares Tr

2.86%

1,083,710,167

$106,923,739,460,0002.74%
JPMorgan Chase & Co.

1.20%

191,756,566

$32,617,791,892,0000.84%
Johnson & Johnson

1.05%

186,308,341

$29,201,969,345,0000.75%
Mastercard Incorporated

1.37%

67,628,347

$28,844,166,041,0000.74%
Exxon Mobil Corp.

1.87%

272,505,089

$27,245,058,869,0000.70%
Home Depot, Inc.

1.58%

71,126,189

$24,648,780,816,0000.63%
Procter And Gamble Co

1.38%

155,765,790

$22,825,918,849,0000.58%
Adobe Inc

4.15%

37,969,754

$22,652,755,527,0000.58%
Abbvie Inc

3.74%

143,182,709

$22,189,024,406,0000.57%
Merck & Co Inc

0.54%

201,836,434

$22,004,208,018,0000.56%
Costco Whsl Corp New

1.98%

30,611,986

$20,206,359,755,0000.52%
Chevron Corp.

3.73%

129,724,993

$19,349,779,853,0000.50%
Salesforce Inc

2.44%

72,530,980

$19,085,802,047,0000.49%
Pepsico Inc

0.11%

111,848,651

$18,996,374,819,0000.49%
Coca-Cola Co

3.73%

313,234,956

$18,458,935,941,0000.47%
Advanced Micro Devices Inc.

1.69%

123,699,344

$18,234,520,318,0000.47%
Cisco Sys Inc

2.43%

351,122,662

$17,738,716,898,0000.45%
Intel Corp.

2.36%

339,935,226

$17,081,745,095,0000.44%
Accenture Plc Ireland

1.45%

47,932,527

$16,820,002,930,0000.43%
Bank America Corp

0.81%

491,778,349

$16,728,133,080,0000.43%
Mcdonalds Corp

2.47%

51,930,141

$15,397,805,962,0000.39%
Walmart Inc

2.50%

97,253,996

$15,332,092,413,0000.39%
Netflix Inc.

3.10%

30,899,510

$15,044,353,447,0000.39%
Thermo Fisher Scientific Inc.

1.19%

28,329,806

$15,037,177,680,0000.39%
Abbott Labs

1.71%

134,064,516

$14,756,481,316,0000.38%
Intuit Inc

0.95%

23,363,030

$14,602,595,152,0000.37%
Linde Plc.

3.21%

35,119,751

$14,424,032,903,0000.37%
AMGEN Inc.

0.50%

47,812,390

$13,770,924,367,0000.35%
Qualcomm, Inc.

7.94%

92,566,332

$13,387,868,722,0000.34%
Verizon Communications Inc

2.65%

348,133,587

$13,124,636,212,0000.34%
Texas Instrs Inc

2.19%

76,796,366

$13,090,708,633,0000.34%
Comcast Corp New

2.86%

298,220,847

$13,076,984,151,0000.34%
Oracle Corp.

1.00%

122,438,449

$12,908,685,699,0000.33%
Wells Fargo Co New

1.00%

261,556,824

$13,171,308,499,0000.34%
Prologis Inc

2.83%

95,138,214

$12,681,923,957,0000.32%
Pfizer Inc.

1.46%

432,503,754

$12,451,783,098,0000.32%
International Business Machs

3.11%

75,480,869

$12,344,896,048,0000.32%
Applied Matls Inc

3.96%

75,203,893

$12,188,294,908,0000.31%
Danaher Corp.

3.10%

50,772,596

$11,745,732,249,0000.30%
Conocophillips

2.03%

96,640,953

$11,217,115,428,0000.29%
ServiceNow Inc

3.62%

15,812,191

$11,171,154,815,0000.29%
Disney Walt Co

2.37%

121,502,764

$10,970,484,586,0000.28%
S&P Global Inc

0.48%

24,222,788

$10,670,622,555,0000.27%
Union Pac Corp

0.80%

42,002,306

$10,316,606,390,0000.26%
Gilead Sciences, Inc.

2.71%

122,793,011

$9,947,461,818,0000.25%
Elevance Health Inc

2.62%

21,030,599

$9,917,189,469,0000.25%
Caterpillar Inc.

0.93%

33,510,465

$9,908,039,003,0000.25%
Intuitive Surgical Inc

2.64%

29,243,893

$9,865,719,711,0000.25%
Medtronic Plc

2.62%

118,573,188

$9,768,059,217,0000.25%
Nike, Inc.

1.19%

89,775,302

$9,746,904,540,0000.25%
Boeing Co.

0.15%

36,652,729

$9,553,900,248,0000.24%
Philip Morris International Inc

4.86%

98,743,351

$9,289,774,477,0000.24%
Lam Research Corp.

3.54%

11,778,089

$9,225,306,114,0000.24%
NextEra Energy Inc

2.16%

149,849,876

$9,101,881,487,0000.23%
Booking Holdings Inc

1.49%

2,561,415

$9,085,903,290,0000.23%
AT&T Inc.

0.26%

533,547,330

$8,952,924,188,0000.23%
Vertex Pharmaceuticals, Inc.

3.12%

21,881,203

$8,903,242,772,0000.23%
General Electric Co.

0.84%

69,616,808

$8,885,193,245,0000.23%
Goldman Sachs Group, Inc.

1.88%

23,010,528

$8,876,771,120,0000.23%
Lowes Cos Inc

0.12%

39,883,097

$8,875,983,132,0000.23%
Honeywell International Inc

0.08%

42,313,312

$8,873,524,617,0000.23%
RTX Corp

3.22%

104,985,755

$8,833,501,429,0000.23%
Bristol-Myers Squibb Co.

1.50%

168,103,766

$8,625,404,241,0000.22%
Uber Technologies Inc

34.78%

139,350,969

$8,579,839,180,0000.22%
United Parcel Service, Inc.

0.47%

54,284,779

$8,535,195,789,0000.22%
Citigroup Inc

0.81%

165,859,197

$8,531,797,068,0000.22%
Morgan Stanley

3.28%

90,499,215

$8,439,051,763,0000.22%
Cadence Design System Inc

0.29%

30,577,602

$8,328,421,395,0000.21%
American Express Co.

3.36%

44,115,276

$8,264,555,775,0000.21%
Tjx Cos Inc New

4.67%

87,736,692

$8,230,579,120,0000.21%
Lockheed Martin Corp.

7.96%

18,158,813

$8,230,300,376,0000.21%
American Tower Corp.

2.77%

36,770,832

$7,938,087,260,0000.20%
Blackrock Inc.

1.37%

9,580,403

$7,777,370,974,0000.20%
Marsh & McLennan Cos., Inc.

1.07%

40,998,157

$7,767,920,843,0000.20%
Automatic Data Processing In

0.32%

33,325,277

$7,763,789,738,0000.20%
Analog Devices Inc.

2.31%

38,734,550

$7,691,132,162,0000.20%
Regeneron Pharmaceuticals, Inc.

2.77%

8,629,707

$7,579,385,538,0000.19%
Starbucks Corp.

0.50%

78,752,115

$7,560,990,606,0000.19%
Equinix Inc

3.02%

9,325,068

$7,510,316,881,0000.19%
Stryker Corp.

4.42%

24,925,176

$7,464,093,084,0000.19%
Progressive Corp.

2.38%

46,568,481

$7,417,427,584,0000.19%
Cigna Group (The)

0.18%

24,556,279

$7,353,377,594,0000.19%
Boston Scientific Corp.

2.12%

126,559,832

$7,316,423,899,0000.19%
Palo Alto Networks Inc

4.61%

24,622,388

$7,260,649,775,0000.19%
Micron Technology Inc.

0.93%

84,985,597

$7,252,670,836,0000.19%
Zoetis Inc

0.08%

36,493,861

$7,202,793,380,0000.18%
Mondelez International Inc.

2.46%

99,061,356

$7,175,013,985,0000.18%
Deere & Co.

2.65%

17,237,160

$6,892,623,025,0000.18%
CVS Health Corp

0.33%

87,022,999

$6,871,335,995,0000.18%
Chubb Limited

2.22%

29,507,912

$6,668,788,056,0000.17%
KLA Corp.

5.34%

11,470,987

$6,668,085,090,0000.17%
Eaton Corp Plc

4.54%

27,301,562

$6,574,762,136,0000.17%
Schwab Charles Corp

0.00%

95,180,345

$6,548,407,740,0000.17%
Synopsys, Inc.

0.72%

11,788,846

$6,070,194,669,0000.16%
T-Mobile US, Inc.

1.62%

37,691,288

$6,043,044,229,0000.15%
Blackstone Inc

0.15%

45,987,551

$6,020,690,136,0000.15%
Schlumberger Ltd.

2.48%

108,347,612

$5,638,409,718,0000.14%
Duke Energy Corp.

0.87%

58,023,990

$5,630,647,981,0000.14%
Illinois Tool Wks Inc

1.79%

21,203,638

$5,554,081,017,0000.14%
Becton Dickinson & Co.

0.90%

22,775,364

$5,553,317,101,0000.14%
The Southern Co.

0.13%

77,732,498

$5,450,602,742,0000.14%
Intercontinental Exchange In

2.32%

42,155,918

$5,414,084,591,0000.14%
Mckesson Corporation

2.19%

11,666,397

$5,401,308,285,0000.14%
Fiserv, Inc.

2.99%

39,891,316

$5,299,162,366,0000.14%
Roper Technologies Inc

0.71%

9,630,558

$5,250,291,456,0000.13%
Welltower Inc.

10.56%

58,183,583

$5,246,413,702,0000.13%
Activision Blizzard Inc

Closed

54,974,647

$5,147,276,202,000
Waste Mgmt Inc Del

1.18%

28,666,963

$5,134,253,093,0000.13%
Altria Group Inc.

0.62%

126,395,276

$5,098,785,446,0000.13%
CME Group Inc

3.23%

23,991,828

$5,052,679,030,0000.13%
Moodys Corp

5.63%

12,930,275

$5,050,048,091,0000.13%
Sherwin-Williams Co.

3.01%

16,167,266

$5,042,570,114,0000.13%
Idexx Labs Inc

4.86%

9,054,307

$5,025,593,068,0000.13%
Humana Inc.

1.41%

10,842,446

$4,963,779,978,0000.13%
Eog Res Inc

1.27%

40,957,397

$4,953,797,122,0000.13%
CSX Corp.

0.20%

142,635,643

$4,945,177,734,0000.13%
Public Storage

2.84%

16,202,681

$4,941,817,655,0000.13%
Newmont Corp

28.32%

119,116,634

$4,930,237,490,0000.13%
General Mtrs Co

1.99%

136,952,468

$4,919,332,655,0000.13%
Amphenol Corp.

0.67%

48,851,330

$4,842,632,299,0000.12%
Trane Technologies plc

4.35%

19,744,991

$4,815,803,233,0000.12%
Simon Ppty Group Inc New

0.23%

33,592,080

$4,791,574,315,0000.12%
Sempra

9.18%

63,319,713

$4,731,882,130,0000.12%
Freeport-McMoRan Inc

0.12%

110,693,592

$4,712,226,216,0000.12%
Us Bancorp Del

4.50%

108,479,889

$4,695,009,575,0000.12%
Lululemon Athletica inc.

17.57%

9,153,779

$4,680,235,666,0000.12%
Phillips 66

0.32%

34,996,842

$4,659,479,557,0000.12%
Chipotle Mexican Grill

1.15%

2,034,459

$4,652,724,955,0000.12%
Target Corp

2.14%

32,467,059

$4,623,958,589,0000.12%
D.R. Horton Inc.

5.17%

30,292,718

$4,603,887,241,0000.12%
Marathon Pete Corp

2.16%

30,923,676

$4,587,836,596,0000.12%
3M Co.

5.51%

41,868,182

$4,577,029,705,0000.12%
Autodesk Inc.

3.36%

18,783,861

$4,573,494,412,0000.12%
Transdigm Group Incorporated

2.95%

4,501,950

$4,554,172,100,0000.12%
Pnc Finl Svcs Group Inc

3.66%

29,236,869

$4,527,329,237,0000.12%
Colgate-Palmolive Co.

0.59%

56,171,840

$4,477,457,403,0000.11%
PayPal Holdings Inc

1.15%

72,525,349

$4,453,781,672,0000.11%
Digital Rlty Tr Inc

5.82%

33,064,393

$4,449,806,031,0000.11%
Northrop Grumman Corp.

1.57%

9,463,777

$4,430,372,360,0000.11%
Cintas Corporation

2.51%

7,199,881

$4,339,080,328,0000.11%
Arista Networks Inc

2.71%

18,421,367

$4,338,416,082,0000.11%
Crowdstrike Holdings Inc

4.14%

16,954,354

$4,328,785,543,0000.11%
Ecolab, Inc.

0.30%

21,716,295

$4,307,427,144,0000.11%
Motorola Solutions Inc

3.41%

13,628,048

$4,266,805,670,0000.11%
American Intl Group Inc

2.69%

62,640,752

$4,243,910,984,0000.11%
Nxp Semiconductors N V

0.31%

18,347,965

$4,214,160,582,0000.11%
Cognizant Technology Solutio

6.46%

55,693,533

$4,206,532,525,0000.11%
Air Prods & Chems Inc

3.91%

15,165,865

$4,152,413,966,0000.11%
Microchip Technology, Inc.

0.83%

45,400,401

$4,094,208,182,0000.10%
Crown Castle Inc

8.13%

35,335,941

$4,070,346,990,0000.10%
Dexcom Inc

0.05%

32,726,186

$4,060,992,422,0000.10%
Cencora Inc.

15.70%

19,677,848

$4,041,436,442,0000.10%
Realty Income Corp.

8.64%

70,366,289

$4,040,432,342,0000.10%
PDD Holdings Inc

1.69%

27,403,219

$4,009,364,972,0000.10%
Williams Cos Inc

2.02%

114,703,105

$3,995,109,142,0000.10%
Edwards Lifesciences Corp

1.55%

52,172,777

$3,978,174,250,0000.10%
HCA Healthcare Inc

4.52%

14,531,079

$3,933,272,399,0000.10%
Parker-Hannifin Corp.

2.41%

8,533,279

$3,931,281,602,0000.10%
Fedex Corp

4.38%

15,499,127

$3,920,814,036,0000.10%
Gallagher Arthur J & Co

2.32%

17,415,310

$3,916,354,820,0000.10%
Travelers Companies Inc.

3.10%

20,545,620

$3,913,735,067,0000.10%
Aon plc.

2.21%

13,428,591

$3,907,988,485,0000.10%
MSCI Inc

1.08%

6,842,589

$3,870,510,301,0000.10%
Copart, Inc.

0.05%

78,680,990

$3,855,368,515,0000.10%
Oreilly Automotive Inc

4.95%

4,056,895

$3,854,374,443,0000.10%
Ansys Inc.

0.74%

10,605,516

$3,848,529,536,0000.10%
Agilent Technologies Inc.

2.70%

27,257,939

$3,789,671,195,0000.10%
Ross Stores, Inc.

1.03%

27,372,614

$3,788,095,997,0000.10%
Kimberly-Clark Corp.

5.49%

31,054,552

$3,773,438,724,0000.10%
General Dynamics Corp.

5.89%

14,428,492

$3,746,646,631,0000.10%
Valero Energy Corp.

5.37%

28,479,583

$3,702,345,728,0000.09%
Oneok Inc.

3.23%

52,605,039

$3,693,925,862,0000.09%
Biogen Inc

1.95%

14,246,658

$3,686,607,689,0000.09%
Workday Inc

6.21%

13,341,755

$3,683,124,803,0000.09%
L3Harris Technologies Inc

3.48%

17,403,276

$3,665,477,984,0000.09%
American Elec Pwr Co Inc

4.87%

44,982,740

$3,653,498,118,0000.09%
Marvell Technology Inc

1.75%

60,494,559

$3,648,426,853,0000.09%
Nucor Corp.

4.73%

20,886,264

$3,635,045,428,0000.09%
Cheniere Energy Inc.

4.44%

21,277,333

$3,632,253,572,0000.09%
Airbnb, Inc.

3.30%

26,580,861

$3,618,718,414,0000.09%
Emerson Elec Co

0.84%

37,143,892

$3,615,215,023,0000.09%
Truist Finl Corp

1.41%

97,462,687

$3,598,322,413,0000.09%
Paccar Inc.

0.62%

36,728,140

$3,586,502,878,0000.09%
Old Dominion Freight Line In

3.50%

8,801,940

$3,567,690,537,0000.09%
General Mls Inc

3.46%

54,520,408

$3,551,459,389,0000.09%
Pioneer Nat Res Co

7.36%

15,683,391

$3,526,880,940,0000.09%
IQVIA Holdings Inc

1.89%

15,166,586

$3,509,244,668,0000.09%
Electronic Arts, Inc.

4.33%

25,646,314

$3,508,672,169,0000.09%
Carrier Global Corporation

1.61%

60,730,069

$3,488,942,458,0000.09%
MetLife, Inc.

1.69%

52,734,401

$3,487,325,939,0000.09%
Aflac Inc.

3.49%

42,166,471

$3,478,733,833,0000.09%
Fidelity Natl Information Sv

2.81%

57,152,207

$3,433,133,044,0000.09%
Marriott Intl Inc New

0.31%

15,212,886

$3,430,658,012,0000.09%
Ford Mtr Co Del

2.14%

280,877,926

$3,423,901,911,0000.09%
Extra Space Storage Inc.

2.42%

21,261,140

$3,408,798,501,0000.09%
Norfolk Southn Corp

6.02%

14,386,636

$3,400,713,107,0000.09%
TE Connectivity Ltd

8.95%

24,039,941

$3,377,611,723,0000.09%
Prudential Finl Inc

0.42%

32,541,140

$3,374,841,615,0000.09%
Baker Hughes Company

2.75%

98,409,626

$3,363,641,019,0000.09%
ON Semiconductor Corp.

0.33%

40,200,366

$3,357,936,571,0000.09%
Kraft Heinz Co

4.86%

90,647,291

$3,352,136,819,0000.09%
Bank New York Mellon Corp

1.45%

64,361,391

$3,350,010,389,0000.09%
Public Svc Enterprise Grp In

6.78%

54,783,005

$3,349,980,807,0000.09%
Paychex Inc.

3.25%

27,960,303

$3,330,351,733,0000.09%
Grainger W W Inc

7.95%

4,003,138

$3,317,360,104,0000.09%
Monolithic Pwr Sys Inc

0.82%

5,236,530

$3,303,098,321,0000.08%
Hilton Worldwide Holdings Inc

2.99%

18,114,697

$3,298,505,219,0000.08%
Autozone Inc.

4.47%

1,273,673

$3,293,222,420,0000.08%
Archer Daniels Midland Co.

4.33%

45,312,695

$3,272,482,856,0000.08%
Lennar Corp.

0.49%

22,333,519

$3,322,454,376,0000.09%
Vici Pptys Inc

3.63%

102,221,825

$3,258,831,787,0000.08%
Republic Svcs Inc

5.68%

19,688,323

$3,246,801,364,0000.08%
Capital One Finl Corp

1.50%

24,742,445

$3,244,229,357,0000.08%
Consolidated Edison, Inc.

15.52%

35,654,415

$3,243,482,147,0000.08%
Exelon Corp.

3.55%

90,115,271

$3,235,138,216,0000.08%
Costar Group, Inc.

10.11%

36,527,891

$3,192,172,399,0000.08%
Fortinet Inc

7.81%

54,207,379

$3,172,757,894,0000.08%
Ameriprise Finl Inc

2.40%

8,338,265

$3,167,123,117,0000.08%
KKR & Co. Inc

0.79%

38,217,175

$3,166,292,985,0000.08%
Otis Worldwide Corporation

2.06%

34,991,332

$3,130,674,548,0000.08%
Hess Corporation

2.09%

21,615,374

$3,116,072,388,0000.08%
Snowflake Inc.

6.67%

15,627,132

$3,109,799,178,0000.08%
Verisk Analytics Inc

5.26%

12,991,814

$3,103,224,746,0000.08%
Xcel Energy Inc.

1.10%

49,987,579

$3,094,731,002,0000.08%
Rockwell Automation Inc

4.60%

9,927,505

$3,082,291,774,0000.08%
Avalonbay Cmntys Inc

3.06%

16,300,356

$3,051,752,596,0000.08%
Yum Brands Inc.

0.48%

23,330,195

$3,048,323,268,0000.08%
Johnson Ctls Intl Plc

0.39%

52,597,761

$3,031,734,955,0000.08%
Centene Corp.

4.66%

40,819,346

$3,029,203,703,0000.08%
Monster Beverage Corp.

0.51%

51,985,659

$2,994,893,820,0000.08%
Fastenal Co.

2.08%

46,067,419

$2,983,786,756,0000.08%
United Rentals, Inc.

1.80%

5,193,291

$2,977,936,691,0000.08%
Ppg Inds Inc

2.23%

19,547,176

$2,923,280,180,0000.07%
PG&E Corp.

0.12%

161,540,380

$2,912,573,049,0000.07%
HP Inc

9.96%

96,715,007

$2,910,154,547,0000.07%
Vmware Inc.

Closed

17,422,595

$2,900,513,639,000
Keysight Technologies Inc

3.64%

17,994,475

$2,862,741,027,0000.07%
Ametek Inc

0.18%

17,317,498

$2,855,482,280,0000.07%
Ingersoll-Rand Inc

10.33%

36,630,394

$2,832,994,645,0000.07%
Hershey Company

0.79%

14,996,355

$2,795,920,379,0000.07%
Xylem Inc

0.02%

24,255,391

$2,773,846,501,0000.07%
Dominion Energy Inc

0.26%

58,954,871

$2,770,878,941,0000.07%
Cummins Inc.

2.70%

11,524,674

$2,760,966,060,0000.07%
Gartner, Inc.

1.80%

6,110,720

$2,756,606,701,0000.07%
West Pharmaceutical Svsc Inc

1.62%

7,778,305

$2,738,896,586,0000.07%
Kroger Co.

4.04%

59,195,632

$2,705,832,319,0000.07%
Kinder Morgan Inc

1.48%

152,871,493

$2,696,653,138,0000.07%
Keurig Dr Pepper Inc

5.91%

80,688,417

$2,688,538,064,0000.07%
Fair Isaac Corp.

3.18%

2,304,106

$2,682,001,896,0000.07%
Block Inc

5.31%

34,669,559

$2,681,690,389,0000.07%
Allstate Corp (The)

9.72%

18,904,232

$2,646,214,346,0000.07%
Constellation Energy Corp

1.85%

22,564,592

$2,637,575,135,0000.07%
Dollar Gen Corp New

0.13%

19,372,704

$2,633,719,144,0000.07%
Cardinal Health, Inc.

6.93%

26,093,112

$2,630,185,677,0000.07%
Edison Intl

0.72%

36,726,726

$2,625,593,615,0000.07%
Charter Communications Inc N

2.39%

6,716,836

$2,610,700,006,0000.07%
Cbre Group Inc

1.33%

28,009,429

$2,607,397,709,0000.07%
Equifax, Inc.

5.89%

10,522,670

$2,602,150,966,0000.07%
Constellation Brands, Inc.

2.92%

10,760,817

$2,601,427,632,0000.07%
Halliburton Co.

0.09%

71,870,383

$2,598,114,355,0000.07%
Dow Inc

0.70%

47,214,452

$2,589,240,562,0000.07%
Corteva Inc

1.39%

53,895,841

$2,582,688,671,0000.07%
Mettler-Toledo International, Inc.

3.50%

2,109,596

$2,558,855,816,0000.07%
Seagen Inc

Closed

12,051,745

$2,556,777,702,000
Equity Residential

2.07%

41,535,847

$2,540,332,406,0000.07%
MongoDB Inc

10.12%

6,210,477

$2,539,153,542,0000.07%
Moderna Inc

2.27%

25,301,692

$2,516,253,271,0000.06%
Apollo Global Mgmt Inc

1.50%

29,590,328

$2,660,266,944,0000.07%
Willis Towers Watson Plc Ltd

2.48%

10,307,927

$2,486,272,038,0000.06%
Sysco Corp.

2.40%

33,931,329

$2,481,398,094,0000.06%
CDW Corp

8.98%

10,883,965

$2,474,142,980,0000.06%
Ferguson Plc New

2.53%

12,603,074

$2,433,275,468,0000.06%
American Wtr Wks Co Inc New

2.57%

18,395,742

$2,428,054,020,0000.06%
WEC Energy Group Inc

0.83%

28,785,883

$2,422,907,808,0000.06%
Quanta Svcs Inc

1.99%

11,168,319

$2,410,123,192,0000.06%
Occidental Pete Corp

0.88%

40,113,483

$2,395,176,090,0000.06%
Laboratory Corp Amer Hldgs

11.67%

10,488,997

$2,384,044,026,0000.06%
Vulcan Matls Co

3.12%

10,477,239

$2,378,437,986,0000.06%
Devon Energy Corp.

1.00%

51,995,849

$2,355,411,974,0000.06%
Datadog Inc

8.42%

19,289,852

$2,341,402,236,0000.06%
DuPont de Nemours Inc

1.90%

30,390,330

$2,337,928,071,0000.06%
Fortive Corp

0.45%

31,667,698

$2,331,692,630,0000.06%
Baxter International Inc.

8.67%

59,679,868

$2,307,223,683,0000.06%
Lyondellbasell Industries N

5.92%

24,052,368

$2,286,899,145,0000.06%
Eversource Energy

0.19%

37,040,032

$2,286,110,793,0000.06%
Diamondback Energy Inc

5.75%

14,685,276

$2,277,392,627,0000.06%
Zimmer Biomet Holdings Inc

13.53%

18,704,829

$2,276,377,727,0000.06%
Kenvue Inc

8.44%

105,648,002

$2,274,601,483,0000.06%
Global Pmts Inc

0.80%

17,654,029

$2,242,061,690,0000.06%
Ge Healthcare Technologies I

1.32%

28,870,837

$2,232,293,110,0000.06%
SBA Communications Corp

2.23%

8,784,968

$2,228,658,530,0000.06%
Steris Plc

5.59%

10,135,257

$2,228,236,212,0000.06%
Verisign Inc.

12.41%

10,818,300

$2,228,137,068,0000.06%
HubSpot Inc

1.33%

3,806,424

$2,209,781,559,0000.06%
Hewlett Packard Enterprise C

0.24%

129,985,942

$2,207,161,295,0000.06%
Dollar Tree Inc

2.52%

15,367,463

$2,182,948,051,0000.06%
Ulta Beauty Inc

3.58%

4,452,010

$2,181,440,513,0000.06%
Weyerhaeuser Co Mtn Be

1.87%

62,299,567

$2,166,155,939,0000.06%
First Solar Inc

5.54%

12,566,514

$2,164,959,047,0000.06%
Axon Enterprise Inc

3.03%

8,313,331

$2,147,582,802,0000.06%
Lauder Estee Cos Inc

3.73%

14,617,896

$2,137,867,347,0000.05%
Atlassian Corporation

8.39%

8,959,762

$2,131,168,990,0000.05%
Pulte Group Inc

2.52%

20,523,416

$2,118,426,984,0000.05%
Resmed Inc.

1.23%

12,248,180

$2,106,931,925,0000.05%
Alexandria Real Estate Eq In

3.25%

16,597,047

$2,104,007,711,0000.05%
Deckers Outdoor Corp.

4.87%

3,145,422

$2,102,494,331,0000.05%
Discover Finl Svcs

3.84%

18,704,918

$2,102,432,812,0000.05%
Price T Rowe Group Inc

1.60%

19,505,090

$2,100,503,113,0000.05%
Expeditors Intl Wash Inc

11.53%

16,489,994

$2,097,527,285,0000.05%
Ventas Inc

0.61%

41,935,881

$2,090,084,294,0000.05%
Aptiv PLC

3.28%

23,200,064

$2,081,509,775,0000.05%
Church & Dwight Co., Inc.

1.02%

21,993,660

$2,079,720,505,0000.05%
Royal Caribbean Group

1.68%

16,056,245

$2,079,123,155,0000.05%
Tractor Supply Co.

0.15%

9,638,735

$2,072,617,144,0000.05%
Martin Marietta Matls Inc

0.08%

4,113,781

$2,052,406,466,0000.05%
Take-two Interactive Softwar

5.06%

12,727,037

$2,048,416,611,0000.05%
Hartford Finl Svcs Group Inc

0.32%

25,310,262

$2,034,438,828,0000.05%
Arch Cap Group Ltd

3.73%

27,328,171

$2,029,663,262,0000.05%
Invitation Homes Inc

0.64%

59,312,749

$2,023,157,863,0000.05%
Broadridge Finl Solutions In

1.62%

9,754,315

$2,006,950,395,0000.05%
Align Technology, Inc.

14.01%

7,292,218

$1,998,067,834,0000.05%
Builders Firstsource Inc

26.07%

11,840,403

$1,976,636,870,0000.05%
Garmin Ltd

1.28%

15,306,061

$1,967,441,054,0000.05%
Howmet Aerospace Inc.

3.24%

36,305,915

$1,964,876,107,0000.05%
Fifth Third Bancorp

3.26%

56,954,857

$1,964,373,026,0000.05%
PTC Inc

3.03%

11,180,324

$1,956,109,531,0000.05%
Manhattan Associates, Inc.

3.65%

9,044,616

$1,947,486,689,0000.05%
Fidelity National Financial Inc

4.22%

38,056,546

$1,941,644,969,0000.05%
Palantir Technologies Inc.

6.68%

112,525,489

$1,932,062,651,0000.05%
State Str Corp

3.18%

24,910,579

$1,929,573,456,0000.05%
EBay Inc.

3.67%

43,874,921

$1,913,824,070,0000.05%
DTE Energy Co.

3.25%

17,317,191

$1,909,393,482,0000.05%
Enphase Energy Inc

2.26%

14,359,030

$1,897,402,190,0000.05%
NVR Inc.

1.02%

269,196

$1,884,491,583,0000.05%
Leidos Holdings Inc

1.20%

17,160,742

$1,857,478,730,0000.05%
Waters Corp.

1.49%

5,635,293

$1,855,307,384,0000.05%
Illumina Inc

0.18%

13,302,999

$1,852,309,607,0000.05%
Citizens Finl Group Inc

4.39%

55,805,288

$1,849,387,253,0000.05%
Teledyne Technologies Inc

6.82%

4,126,878

$1,841,784,382,0000.05%
Corning, Inc.

2.87%

60,194,426

$1,832,920,286,0000.05%
Best Buy Co. Inc.

5.94%

23,328,545

$1,826,158,535,0000.05%
First Ctzns Bancshares Inc N

2.71%

1,285,205

$1,823,666,449,0000.05%
Raymond James Finl Inc

0.78%

16,353,105

$1,823,371,211,0000.05%
International Flavors&fragra

3.55%

22,473,382

$1,819,669,684,0000.05%
MercadoLibre Inc

2.85%

1,156,056

$1,816,788,247,0000.05%
Super Micro Computer Inc

9.60%

6,381,749

$1,814,075,971,0000.05%
Splunk Inc

1.23%

11,868,423

$1,808,154,242,0000.05%
Floor & Decor Holdings Inc

53.25%

16,150,440

$1,801,743,086,0000.05%
Neurocrine Biosciences, Inc.

2.07%

13,647,891

$1,798,246,116,0000.05%
M & T Bk Corp

0.46%

13,109,754

$1,797,085,110,0000.05%
Cboe Global Mkts Inc

0.29%

10,063,935

$1,797,016,286,0000.05%
Entergy Corp.

1.08%

17,688,611

$1,789,910,631,0000.05%
Veeva Sys Inc

3.65%

9,274,890

$1,785,601,765,0000.05%
Godaddy Inc

0.77%

16,638,496

$1,766,342,735,0000.05%
Molina Healthcare Inc

3.40%

4,877,403

$1,762,254,475,0000.05%
Reliance Steel & Aluminum Co.

6.86%

6,284,765

$1,757,723,047,0000.05%
Warner Bros.Discovery Inc

1.06%

154,411,330

$1,757,200,931,0000.05%
Nasdaq Inc

2.65%

30,160,772

$1,753,547,271,0000.04%
Targa Res Corp

7.89%

20,031,238

$1,740,113,685,0000.04%
PPL Corp

9.21%

64,139,418

$1,738,178,236,0000.04%
Watsco, Inc.

1.62%

4,052,024

$1,736,170,530,0000.04%
Hologic, Inc.

0.16%

24,264,185

$1,733,676,017,0000.04%
Entegris Inc

0.53%

14,466,785

$1,733,410,129,0000.04%
Walgreens Boots Alliance Inc

0.21%

65,894,048

$1,720,493,597,0000.04%
Horizon Therapeutics Pub L

Closed

14,871,176

$1,720,446,319,000
Wp Carey Inc

67.30%

26,442,819

$1,713,759,126,0000.04%
Regions Financial Corp.

1.67%

88,031,421

$1,706,048,941,0000.04%
CMS Energy Corporation

11.07%

29,300,865

$1,701,501,206,0000.04%
Trade Desk Inc

2.60%

23,559,857

$1,695,367,344,0000.04%
Akamai Technologies Inc

5.29%

14,300,451

$1,692,458,341,0000.04%
Steel Dynamics Inc.

9.18%

14,289,993

$1,687,648,152,0000.04%
Lennox International Inc

9.54%

3,759,477

$1,682,441,174,0000.04%
Huntington Bancshares, Inc.

1.42%

132,187,237

$1,681,421,655,0000.04%
Kellanova Co

0.70%

29,983,084

$1,676,354,245,0000.04%
Netapp Inc

2.90%

18,873,875

$1,663,920,859,0000.04%
Equity Lifestyle Pptys Inc

0.11%

23,547,015

$1,661,006,461,0000.04%
DoorDash Inc

10.31%

16,793,884

$1,660,747,188,0000.04%
Skyworks Solutions, Inc.

7.65%

14,750,826

$1,658,287,855,0000.04%
Factset Resh Sys Inc

9.50%

3,473,682

$1,657,120,130,0000.04%
Mid-amer Apt Cmntys Inc

3.02%

12,303,261

$1,654,296,485,0000.04%
Graco Inc.

2.62%

19,063,839

$1,653,978,631,0000.04%
Cooper Cos Inc

0.32%

4,357,742

$1,649,143,816,0000.04%
Alnylam Pharmaceuticals Inc

1.53%

8,521,115

$1,631,026,620,0000.04%
Iron Mtn Inc Del

5.12%

23,272,793

$1,628,630,089,0000.04%
Owens Corning

1.83%

10,973,591

$1,626,615,409,0000.04%
Delta Air Lines, Inc.

5.94%

40,002,925

$1,609,317,677,0000.04%
Essex Ppty Tr Inc

1.25%

6,467,856

$1,603,640,033,0000.04%
Synchrony Financial

5.74%

41,640,099

$1,590,235,394,0000.04%
SS&C Technologies Holdings Inc

0.10%

25,976,017

$1,587,394,418,0000.04%
AECOM

1.64%

17,168,905

$1,586,921,915,0000.04%
Taiwan Semiconductor Mfg Ltd

11.97%

15,189,672

$1,579,725,845,0000.04%
Omnicom Group, Inc.

1.18%

18,140,652

$1,569,347,769,0000.04%
Bunge Limited

Closed

14,450,911

$1,564,311,167,000
Teradyne, Inc.

6.93%

14,337,377

$1,555,892,184,0000.04%
Coterra Energy Inc

0.95%

60,877,130

$1,553,584,366,0000.04%
Gaming & Leisure Pptys Inc

2.51%

31,392,216

$1,549,205,879,0000.04%
Cf Inds Hldgs Inc

9.78%

19,281,801

$1,532,903,209,0000.04%
Incyte Corp.

0.21%

24,298,022

$1,525,672,802,0000.04%
Wabtec

0.58%

12,015,792

$1,524,804,001,0000.04%
Firstenergy Corp.

2.70%

41,507,772

$1,521,674,914,0000.04%
Rexford Indl Rlty Inc

3.78%

27,067,079

$1,518,463,121,0000.04%
Dover Corp.

1.29%

9,870,251

$1,518,143,238,0000.04%
Expedia Group Inc

3.06%

9,944,093

$1,509,413,898,0000.04%
Avery Dennison Corp.

0.25%

7,382,111

$1,492,367,464,0000.04%
Atmos Energy Corp.

29.02%

12,840,345

$1,488,195,994,0000.04%
Principal Financial Group In

3.34%

18,885,042

$1,485,686,242,0000.04%
Coinbase Global Inc

3.92%

8,532,359

$1,483,947,877,0000.04%
Sun Cmntys Inc

1.98%

11,087,654

$1,481,864,913,0000.04%
Ishares Inc

9.63%

103,028,245

$4,776,790,503,0000.12%
Albemarle Corp.

0.73%

10,187,402

$1,471,875,886,0000.04%
Genuine Parts Co.

0.67%

10,598,668

$1,467,915,471,0000.04%
Quest Diagnostics, Inc.

7.10%

10,578,368

$1,458,545,316,0000.04%
Packaging Corp Amer

0.25%

8,948,925

$1,457,869,318,0000.04%
Zscaler Inc

5.13%

6,559,393

$1,453,299,115,0000.04%
Carlisle Cos Inc

1.97%

4,646,391

$1,451,671,791,0000.04%
Bunge Global SA

Opened

14,311,562

$1,444,752,181,0000.04%
Host Hotels & Resorts Inc

0.00%

74,130,276

$1,443,316,466,0000.04%
Clorox Co.

1.24%

10,119,725

$1,442,971,584,0000.04%
Veralto Corp

13.09%

17,491,039

$1,438,812,909,0000.04%
Western Digital Corp.

5.75%

27,406,158

$1,435,260,505,0000.04%
Fleetcor Technologies Inc

5.02%

5,012,422

$1,416,560,581,0000.04%
Centerpoint Energy Inc.

0.29%

49,578,867

$1,416,468,207,0000.04%
Biomarin Pharmaceutical Inc.

0.51%

14,681,644

$1,415,604,123,0000.04%
RPM International, Inc.

1.95%

12,660,322

$1,413,271,768,0000.04%
Repligen Corp.

0.34%

7,859,645

$1,413,164,160,0000.04%
Ares Management Corp

3.31%

11,835,993

$1,407,536,326,0000.04%
Epam Sys Inc

1.51%

4,722,634

$1,404,228,216,0000.04%
Bio-Techne Corp

0.80%

18,133,912

$1,399,212,623,0000.04%
Dynatrace Inc

0.97%

25,446,897

$1,391,690,797,0000.04%
Kimco Rlty Corp

2.31%

65,063,150

$1,386,495,732,0000.04%
Cloudflare Inc

5.21%

16,650,173

$1,386,293,367,0000.04%
Keycorp

4.98%

95,886,976

$1,380,772,456,0000.04%
Gen Digital Inc

3.18%

60,038,066

$1,370,068,664,0000.04%
Darden Restaurants, Inc.

0.81%

8,327,493

$1,368,207,086,0000.04%
Lpl Finl Hldgs Inc

6.03%

5,961,459

$1,356,947,342,0000.03%
Everest Group Ltd

16.60%

3,832,144

$1,354,969,428,0000.03%
Textron Inc.

1.03%

16,727,725

$1,345,243,651,0000.03%
Cytokinetics Inc

2.99%

16,102,070

$1,344,361,823,0000.03%
Pool Corporation

8.03%

3,368,873

$1,343,203,501,0000.03%
Pinterest Inc

4.76%

36,052,190

$1,335,373,136,0000.03%
Ameren Corp.

0.88%

18,418,036

$1,332,360,749,0000.03%
Allegion plc

10.18%

10,508,883

$1,331,370,343,0000.03%
Tyler Technologies, Inc.

0.26%

3,179,700

$1,329,496,071,0000.03%
UDR Inc

5.43%

34,676,247

$1,327,753,498,0000.03%
Insulet Corporation

1.77%

6,102,546

$1,324,130,516,0000.03%
Zebra Technologies Corporati

7.03%

4,838,607

$1,322,536,451,0000.03%
Hunt J B Trans Svcs Inc

0.75%

6,597,065

$1,317,697,762,0000.03%
Idex Corporation

1.74%

6,068,327

$1,317,494,500,0000.03%
Hubbell Inc.

28.41%

3,983,461

$1,310,279,935,0000.03%
Jabil Inc

25.41%

10,275,465

$1,309,094,224,0000.03%
Vistra Corp

0.08%

33,950,011

$1,307,754,419,0000.03%
McCormick & Co., Inc.

2.72%

19,080,707

$1,305,501,997,0000.03%
Boston Properties, Inc.

4.98%

18,576,146

$1,303,488,158,0000.03%
International Paper Co.

0.11%

35,941,193

$1,299,274,133,0000.03%
Interpublic Group Cos Inc

1.73%

39,774,432

$1,298,237,450,0000.03%
Ball Corp.

1.48%

22,537,514

$1,296,357,788,0000.03%
Seagate Technology Hldngs Pl

3.75%

15,180,850

$1,295,989,161,0000.03%
Northern Tr Corp

3.68%

15,312,135

$1,292,037,965,0000.03%
Regency Ctrs Corp

4.40%

19,269,961

$1,291,087,412,0000.03%
Camden Ppty Tr

13.01%

13,000,368

$1,290,806,540,0000.03%
LKQ Corp

16.57%

26,538,826

$1,268,290,505,0000.03%
Carlyle Group Inc (The)

43.64%

31,155,048

$1,267,698,919,0000.03%
Cincinnati Finl Corp

1.82%

12,157,971

$1,257,863,637,0000.03%
EQT Corp

18.38%

32,453,643

$1,254,657,854,0000.03%
Smucker J M Co

2.74%

9,926,311

$1,254,487,181,0000.03%
Burlington Stores Inc

89.88%

6,437,009

$1,251,869,511,0000.03%
Ovintiv Inc

1.55%

28,421,186

$1,248,258,467,0000.03%
Lattice Semiconductor Corp.

5.40%

18,070,632

$1,246,692,900,0000.03%
Rollins, Inc.

2.91%

28,515,437

$1,245,269,120,0000.03%
Live Nation Entertainment In

1.79%

13,281,022

$1,243,103,667,0000.03%
Waste Connections Inc

3.43%

8,304,297

$1,239,582,438,0000.03%
Saia Inc.

12.78%

2,816,995

$1,234,463,587,0000.03%
Booz Allen Hamilton Hldg Cor

1.11%

9,634,456

$1,232,343,281,0000.03%
e.l.f. Beauty Inc

1.66%

8,536,942

$1,232,222,210,0000.03%
Reinsurance Grp Of America I

4.67%

7,608,278

$1,230,867,219,0000.03%
Conagra Brands Inc

1.26%

42,884,362

$1,229,065,800,0000.03%
Asml Holding N V

5.09%

1,623,524

$1,228,877,708,0000.03%
Charles Riv Labs Intl Inc

0.80%

5,161,360

$1,220,145,504,0000.03%
Las Vegas Sands Corp

6.55%

24,623,006

$1,211,698,153,0000.03%
Pentair plc

5.39%

16,648,726

$1,210,528,860,0000.03%
Snap-on, Inc.

8.39%

4,163,048

$1,202,454,874,0000.03%
CubeSmart

0.98%

25,929,451

$1,201,830,039,0000.03%
Lamb Weston Holdings Inc

0.16%

11,044,742

$1,193,826,168,0000.03%
Dominos Pizza Inc

6.58%

2,892,755

$1,192,480,331,0000.03%
Williams-Sonoma, Inc.

1.24%

5,891,759

$1,188,839,181,0000.03%
Alliant Energy Corp.

2.17%

23,079,980

$1,184,002,959,0000.03%
F5 Inc

14.72%

6,600,425

$1,181,344,101,0000.03%
Aspen Technology Inc

3.91%

5,323,453

$1,171,958,176,0000.03%
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Blackrock 13F annual report (2024) – wallmine.com (2024)

FAQs

How much is Larry Fink really worth? ›

What is BlackRock's biggest portfolio? ›

Latest Holdings, Performance, AUM (from 13F, 13D)

BlackRock Inc.'s top holdings are Microsoft Corporation (US:MSFT) , Apple Inc. (US:AAPL) , Amazon.com, Inc. (US:AMZN) , NVIDIA Corporation (US:NVDA) , and Alphabet Inc. (US:GOOGL) .

Who owns BlackRock and Vanguard? ›

Who Owns BlackRock? BlackRock is publicly owned, with its shares held by various shareholders, including institutional investors like Vanguard Group and State Street Corporation and individual shareholders. The specifics of these shareholders can change over time.

How powerful is BlackRock? ›

BlackRock, Inc. is an American multinational investment company. It is the world's largest asset manager, with $10 trillion in assets under management as of December 31, 2023. Headquartered in New York City, BlackRock has 78 offices in 38 countries, and clients in 100 countries.

Who is the richest person at BlackRock? ›

Larry Fink, who founded BlackRock, the world's largest asset management firm, in 1988 (initially under the purview of Blackstone), currently has a net worth of $1.2 billion. He serves as the Chairman and CEO of BlackRock, which currently manages $8.7 trillion in total assets.

Who owns most of BlackRock? ›

Laurence D.

Fink is the CEO and co-founder of BlackRock. Along with seven colleagues, he started the company. As of 31 January 2023, he owned 520,126 making him the biggest individual shareholder.

What are BlackRock's top 3 holdings? ›

The company is also quite diversified, but it is heavily exposed to some large tech stocks. BlackRock's top three holdings are Apple (NASDAQ:AAPL), Microsoft (NASDAQ:MSFT), and Amazon (NASDAQ:AMZN).

Does BlackRock own Tesla? ›

Who is Tesla owned by? The largest individual Tesla shareholder is Elon Musk, who owns about 13% of the company's common stock. Vanguard and BlackRock are the two largest institutional investors, owning about 7.2% and 5.9% of outstanding shares, respectively.

Is Larry Fink a billionaire? ›

Larry Fink reached billionaire status in April 2018. Approximately $600 million of his net worth was from his equity in BlackRock. Fink owns 0.7% of BlackRock's total outstanding shares, contributing significantly to his net worth of $1 billion.

What bank does BlackRock own? ›

ownership in USB / U.S. Bancorp. 2024-01-26 - BlackRock Inc. has filed an SC 13G/A form with the Securities and Exchange Commission (SEC) disclosing ownership of 108,476,982 shares of U.S. Bancorp (US:USB). This represents 7.0 percent ownership of the company.

Does BlackRock own Disney? ›

According to the latest SEC filing, BlackRock, another major institutional Disney owner, held 121,502,764 DIS shares as of Q4 2023. This was about 6.62% of the company's outstanding shares. Founded 36 years ago in 1988, today Blackrock is one of the biggest and best-known financial services companies in the world.

How much does Larry Fink make a year? ›

April 4 (Reuters) - BlackRock (BLK. N) , opens new tab CEO Laurence Fink's total pay for 2023 was $26.9 million, down from $32.7 million a year earlier, according to the company's regulatory filings on Thursday.

Does BlackRock control the government? ›

Furthermore, BlackRock's influence extends beyond the corporate realm. It holds significant stakes in government bonds and other financial instruments, effectively lending to governments and influencing their policies (Financial Times, 2023).

Can normal people invest in BlackRock? ›

Buying shares in the BlackRock Income and Growth Investment Trust is easy. You can do so via a stockbroker or an online platform. You can also invest in investment trusts through your ISA with another provider or self-invested personal pension (SIPP).

How much does Larry Fink make at BlackRock? ›

Both major proxy advisory firms are recommending shareholders vote against BlackRock Chief Executive Larry Fink's roughly $27 million pay package at the asset manager's annual meeting.

How much does Larry Fink own? ›

Larry Fink's net worth is an estimated $1 billion. At the time of writing, the value of his equity in BlackRock is over $325 million.

Who is the real richest person in the world? ›

To tally their wealth, Forbes used stock prices and exchange rates from March 8, 2024. Bernard Arnault and his family are at number one, with a net worth of $233 billion. Arnault is head of LVMH, a luxury fashion and cosmetics conglomerate in France.

How much is BlackRock money worth? ›

BlackRock net worth as of April 30, 2024 is $113.63B.

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