BlackRock

BlackRock

BlackRock is tracked through public portfolio filings, disclosed holdings, and institutional investment activity. This BlackRock portfolio page tracks BlackRock holdings, stock picks, latest portfolio moves, and historical 13F filing changes so readers can see which public companies BlackRock owns and how disclosed positions change over time. BlackRock's public portfolio can help investors study position sizing, sector exposure, concentration, new buys, trims, exits, and the market themes behind reported capital allocation decisions. Top disclosed holdings and portfolio changes shown on this page include NVIDIA Corporation (NVDA), Apple Inc (AAPL), Microsoft Corp (MSFT), Alphabet Inc (GOOGL), and Alphabet Cl C (GOOG). Investors use BlackRock 13F filings to study portfolio concentration, new buys, trims, exits, sector exposure, and the market evidence behind the latest disclosed holdings.

Latest Trades

CompanyValueActionChangePriceCurrent Price
Fiserv IncFISV$5.8B39.2M sharesTrimQ2 2024 13F$538M$149.04$52.72
TransDigm Group IncTDG$5.0B3.9M sharesTrimQ2 2024 13F$531M$1,282.14$1,206.28
EPAM Systems IncEPAM$866M4.6M sharesTrimQ2 2024 13F$529M$188.11$96.72
First Solar IncFSLR$2.6B11.3M sharesAddQ2 2024 13F$522M$225.46$275.39
Blackrock IncBLK$7.5B9.5M sharesTrimQ2 2024 13F$515M$787.32$994.77
Thermo Fisher Scientific IncTMO$16B29.5M sharesTrimQ2 2024 13F$514M$572.88$492.20
United Parcel ServiceUPS$7.6B55.4M sharesTrimQ2 2024 13F$514M$136.85$107.70
iShares iBoxx $ High Yield Corporate Bond ETFHYG$1.9B24.8M sharesAddQ2 2024 13F$512M$77.14$80.13
Consolidated Edison, Inc.ED$3.7B41.1M sharesAddQ2 2024 13F$510M$89.42$108.01
Monster Beverage Corp (2)MNST$2.6B52.4M sharesTrimQ2 2024 13F$508M$49.95$88.47
Hewlett Packard Enterprise Company Common StockHPE$2.7B125.5M sharesAddQ2 2024 13F$507M$21.17$49.87
Lockheed Martin CorpLMT$7.9B17M sharesTrimQ2 2024 13F$502M$467.10$520.07
Teradyne IncTER$2.2B14.6M sharesAddQ2 2024 13F$501M$148.29$374.69
Block, Inc.XYZ$2.0B31.2M sharesTrimQ2 2024 13F$498M$64.49$75.68
Baxter International IncBAX$2.1B63M sharesTrimQ2 2024 13F$497M$33.45$19.33
West Pharmaceutical Services IncWST$2.5B7.6M sharesTrimQ2 2024 13F$496M$329.39$312.71
Synopsys IncSNPS$7.6B12.8M sharesAddQ2 2024 13F$488M$595.06$454.38
Dollar General CorporationDG$2.4B17.9M sharesTrimQ2 2024 13F$480M$132.23$106.82
ANSYS IncANSS$2.8B8.6M sharesTrimQ2 2024 13F$480M$327.66$374.30
Schlumberger N.V. Common StockSLB$5.7B119.8M sharesTrimQ2 2024 13F$479M$47.18$56.55
Repligen Corporation - Common StockRGEN$954M7.6M sharesTrimQ2 2024 13F$476M$126.06$113.17
T-Mobile US IncTMUS$6.5B36.7M sharesAddQ2 2024 13F$472M$176.18$182.68
BlackRock trim Unmapped 13F securityPORTFOLIO$2.3B12.1M sharesTrimQ2 2024 13F$470M$193.65--
Taiwan Semiconductor Manufacturing Co LtdTSM$2.6B15.1M sharesAddQ2 2024 13F$469M$151.69$440.83
United Therapeutics CorporationUTHR$1.7B5.5M sharesAddQ2 2024 13F$463M$264.67$549.90
Halliburton CompanyHAL$2.5B73.3M sharesTrimQ2 2024 13F$463M$33.78$35.17
BlackRock add Unmapped 13F securityPORTFOLIO$854M43M sharesAddQ2 2024 13F$461M$19.85--
Electronic Arts IncEA$3.9B27.8M sharesAddQ2 2024 13F$461M$139.33$203.20
Keysight Technologies IncKEYS$2.3B17.2M sharesTrimQ2 2024 13F$456M$136.75$331.42
Mondelez International IncMDLZ$6.3B96.8M sharesTrimQ2 2024 13F$456M$65.44$61.60
Zimmer Biomet Holdings, Inc.ZBH$1.8B16.8M sharesTrimQ2 2024 13F$453M$108.53$87.27
Southern Company (SO)SO$6.0B77.7M sharesAddQ2 2024 13F$452M$75.78$91.28
Molina Healthcare IncMOH$1.5B5.2M sharesTrimQ2 2024 13F$450M$297.30$177.87
BlackRock trim Unmapped 13F securityPORTFOLIO$3.3B55.2M sharesTrimQ2 2024 13F$444M$60.27--
CME Group IncCME$5.0B25.7M sharesTrimQ2 2024 13F$443M$196.60$252.03
BlackRock add Unmapped 13F securityPORTFOLIO$5.2B34.3M sharesAddQ2 2024 13F$443M$152.05--
Becton Dickinson and CoBDX$5.2B22.3M sharesTrimQ2 2024 13F$442M$185.22$143.98
Palantir Technologies IncPLTR$3.0B119.8M sharesAddQ2 2024 13F$441M$25.33$136.47
Corning IncGLW$2.4B62.2M sharesAddQ2 2024 13F$435M$38.85$187.54
NXP Semiconductors NVNXPI$5.0B18.4M sharesAddQ2 2024 13F$433M$269.09$304.86
Pinterest IncPINS$2.1B48.5M sharesAddQ2 2024 13F$428M$44.07$19.86
Veeva Systems IncVEEV$1.7B9.5M sharesTrimQ2 2024 13F$424M$183.01$167.24
Vail Resorts, Inc.MTN$646M3.6M sharesTrimQ2 2024 13F$422M$180.13$131.20
United Rentals IncURI$3.3B5.1M sharesTrimQ2 2024 13F$420M$646.73$1,084.05
Booking Holdings IncBKNG$9.6B2.4M sharesAddQ2 2024 13F$419M$3,961.50$162.30
Humana IncHUM$4.2B11.1M sharesAddQ2 2024 13F$418M$373.65$355.98
Weyerhaeuser CompanyWY$1.8B62.1M sharesTrimQ2 2024 13F$418M$28.39$24.51
BlackRock add Unmapped 13F securityPORTFOLIO$418.2MAddQ2 2024 13F$418M----
Steel Dynamics IncSTLD$1.6B12.4M sharesTrimQ2 2024 13F$417M$129.50$258.22
Motorola Solutions IncMSI$5.2B13.5M sharesAddQ2 2024 13F$411M$386.05$406.80
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