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
NVIDIA CorporationNVDA$227B1.8B sharesAddQ2 2024 13F$62B$101.10$192.53
Apple IncAAPL$222B1.1B sharesAddQ2 2024 13F$44B$186.49$283.78
Microsoft CorpMSFT$248B554.3M sharesAddQ2 2024 13F$18B$422.32$372.97
Alphabet IncGOOGL$77B421.1M sharesAddQ2 2024 13F$14B$168.57$337.39
Alphabet Cl CGOOG$65B355.3M sharesAddQ2 2024 13F$11B$170.10$334.69
Amazon.com IncAMZN$125B648.7M sharesAddQ2 2024 13F$9.7B$193.25$232.69
SPDR S&P 500 ETF TrustSPY$2.1B3.8M sharesTrimQ2 2024 13F$9.5B$528.39$728.99
Eli Lilly and Company Common StockLLY$60B65.9M sharesAddQ2 2024 13F$8.8B$799.92$1,206.51
Broadcom Inc.AVGO$55B34.2M sharesAddQ2 2024 13F$8.6B$1,605.53$365.02
Costco Wholesale Corporation - Common StockCOST$28B33.2M sharesAddQ2 2024 13F$4.4B$849.99$974.75
Tesla IncTSLA$38B190.1M sharesAddQ2 2024 13F$4.3B$174.77$379.71
Pioneer Natural Resources CompanyPXD$-4.2BExitQ2 2024 13F$4.2B$270.84$269.62
Intel CorpINTC$11B361.7M sharesTrimQ2 2024 13F$4.0B$32.77$131.65
Meta Platforms IncMETA$81B161.2M sharesAddQ2 2024 13F$3.9B$486.09$585.39
Applied Materials, Inc. - Common StockAMAT$19B79.2M sharesAddQ2 2024 13F$3.3B$214.68$592.92
QUALCOMM IncQCOM$19B95.9M sharesAddQ2 2024 13F$3.2B$188.89$197.41
GE VERNOVA INCGEV$3.1B18.1M sharesAddQ2 2024 13F$3.1B$158.47$933.85
Exxon Mobil CorpXOM$35B303.4M sharesAddQ2 2024 13F$3.1B$115.12$151.75
The Walt Disney CoDIS$12B123.5M sharesTrimQ2 2024 13F$3.0B$107.65$98.87
iShares Core S&P 500 ETFIVV$36B66.6M sharesAddQ2 2024 13F$2.9B$525.83$754.17
Salesforce, Inc. Common StockCRM$19B74.6M sharesTrimQ2 2024 13F$2.9B$257.10$182.55
AbbVie IncABBV$23B136.4M sharesTrimQ2 2024 13F$2.6B$165.65$234.89
Home Depot, Inc. (The) Common StockHD$24B71.1M sharesTrimQ2 2024 13F$2.6B$347.88$342.86
Oracle CorporationORCL$18B128.6M sharesAddQ2 2024 13F$2.5B$141.20$148.68
Walmart IncWMT$20B297.8M sharesAddQ2 2024 13F$2.4B$62.97$115.69
CRH plcCRH.L$2.6B35.3M sharesAddQ2 2024 13F$2.4B$74.98--
Netflix IncNFLX$21B31.6M sharesAddQ2 2024 13F$2.3B$62.46$82.64
Mastercard Incorporated Common StockMA$31B70.2M sharesTrimQ2 2024 13F$2.2B$441.16$499.02
Bristol-Myers Squibb CoBMY$6.6B158.7M sharesTrimQ2 2024 13F$2.2B$41.53$55.57
SUPER MICRO COMPUTER INCSMCI$3.3B4M sharesTrimQ2 2024 13F$2.2B$819.35$38.19
Accenture PLCACN$15B49M sharesTrimQ2 2024 13F$2.1B$306.33$165.36
BlackRock exit Unmapped 13F securityPORTFOLIO$-2.1BExitQ2 2024 13F$2.1B----
Visa IncV$34B127.8M sharesTrimQ2 2024 13F$2.0B$262.47$336.23
Labcorp Holdings Inc.LH$1.9B9.5M sharesOtherQ2 2024 13F$1.9B$203.42$268.63
CrowdStrike Holdings IncCRWD$7.1B18.6M sharesAddQ2 2024 13F$1.9B$383.19$680.92
BlackRock add Unmapped 13F securityPORTFOLIO$14B12.9M sharesAddQ2 2024 13F$1.9B$1,064.85--
Prologis IncPLD$11B94.5M sharesTrimQ2 2024 13F$1.8B$112.31$142.78
Adobe Inc.ADBE$22B38.7M sharesAddQ2 2024 13F$1.8B$555.54$244.99
Merck & Co IncMRK$26B208.2M sharesTrimQ2 2024 13F$1.8B$123.80$119.52
Lowe's Companies, Inc. Common StockLOW$8.5B38.4M sharesTrimQ2 2024 13F$1.7B$220.46$207.97
Texas Instruments IncTXN$15B78.7M sharesAddQ2 2024 13F$1.6B$184.76$290.90
Palo Alto Networks IncPANW$8.5B25M sharesAddQ2 2024 13F$1.6B$339.01$285.26
KLA CorpKLAC$9.6B11.6M sharesAddQ2 2024 13F$1.6B$824.51$2,108.06
Berkshire Hathaway Inc.BRK-B$44B107.3M sharesTrimQ2 2024 13F$1.6B$408.62$498.66
BlackRock trim Unmapped 13F securityPORTFOLIO$-1.6BTrimQ2 2024 13F$1.6B----
McDonald's CorpMCD$13B50.2M sharesTrimQ2 2024 13F$1.5B$254.84$277.78
BlackRock add Unmapped 13F securityPORTFOLIO$7.0B20.1M sharesAddQ2 2024 13F$1.5B$350.48--
Nike IncNKE$6.9B91.5M sharesTrimQ2 2024 13F$1.5B$93.68$40.75
Micron Technology IncMU$12B92.3M sharesAddQ2 2024 13F$1.5B$126.02$1,048.51
ConocoPhillips Common StockCOP$11B97.7M sharesTrimQ2 2024 13F$1.3B$114.38$118.89
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