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

CompanyValueActionChangePriceLast Price
Lear CorporationLEA$870M7.6M sharesTrimQ2 2024 13F$232M$114.21$145.00
NICE Ltd.NICE$19M110.9k sharesTrimQ2 2024 13F$231M$171.97$91.15
BlackRock trim Unmapped 13F securityPORTFOLIO$9.6B95.8M sharesTrimQ2 2024 13F$230M$100.39--
Masonite International CorporationDOOR$-229.4MExitQ2 2024 13F$229M--$132.84
Coterra Energy IncCTRA$1.4B53.5M sharesTrimQ2 2024 13F$227M$26.67$32.56
StepStone Group Inc.STEP$365M8M sharesAddQ2 2024 13F$227M$45.89$52.30
State Street Technology Select Sector SPDR ETFXLK$336M1.5M sharesTrimQ2 2024 13F$227M$226.23$184.43
Textron Inc. Common StockTXT$1.3B15.6M sharesTrimQ2 2024 13F$226M$85.86$92.32
A. O. Smith CorpAOS$721M8.8M sharesTrimQ2 2024 13F$225M$81.78$58.01
Cintas CorpCTAS$4.7B6.7M sharesTrimQ2 2024 13F$224M$700.26$173.65
First Citizens BancShares IncFCNCA$2.4B1.4M sharesAddQ2 2024 13F$224M$1,683.61$2,074.25
Installed Building Products, Inc.IBP$852M4.1M sharesTrimQ2 2024 13F$222M$205.68$208.59
BlackRock trim Unmapped 13F securityPORTFOLIO$328M29.4M sharesTrimQ2 2024 13F$221M$11.17--
Scientific Games CorporationSGMS$871M8.3M sharesTrimQ2 2024 13F$221M$104.88$58.07
JPMorgan Chase & Co.JPM$40B198.7M sharesAddQ2 2024 13F$220M$195.50$334.47
Tenet Healthcare CorpTHC$1.3B9.9M sharesAddQ2 2024 13F$220M$133.03$163.01
Datadog IncDDOG$2.6B20.1M sharesAddQ2 2024 13F$217M$129.69$231.68
PVH Corp. Common StockPVH$546M5.2M sharesTrimQ2 2024 13F$216M$105.87$96.20
PBF Logistics LP Common Units rep LTD partner InterestsPBF$676M14.7M sharesTrimQ2 2024 13F$215M$46.02$38.80
BlackRock add Unmapped 13F securityPORTFOLIO$1.4B24.5M sharesAddQ2 2024 13F$215M$57.14--
American Tower CorpAMT$7.4B38.1M sharesAddQ2 2024 13F$214M$186.91$174.46
Yum China Holdings, Inc.YUMC$536M17.4M sharesTrimQ2 2024 13F$213M$30.84$41.53
TransMedics Group, Inc.TMDX$398M2.6M sharesAddQ2 2024 13F$212M$150.62$70.15
Carnival Corporation & PLCCCL$1.3B68.8M sharesAddQ2 2024 13F$210M$18.72$27.98
BlackRock trim Unmapped 13F securityPORTFOLIO$1.5B17.3M sharesTrimQ2 2024 13F$209M$88.14--
DraftKings Inc.DKNG$1.2B30.8M sharesAddQ2 2024 13F$208M$38.17$25.07
e.l.f. Beauty, Inc.ELF$1.1B5.1M sharesTrimQ2 2024 13F$208M$210.72$57.36
Dropbox, Inc.DBX$625M27.8M sharesTrimQ2 2024 13F$208M$22.47$26.41
Glaukos CorporationGKOS$951M8M sharesAddQ2 2024 13F$207M$118.35$109.88
Republic Services, Inc.RSG$3.5B17.9M sharesTrimQ2 2024 13F$206M$188.69$217.34
Hilton Worldwide Holdings Inc. Common StockHLT$4.1B18.6M sharesAddQ2 2024 13F$205M$218.20$340.63
Vulcan Materials CoVMC$2.5B10M sharesTrimQ2 2024 13F$201M$248.68$292.99
Morgan StanleyMS$8.2B84.4M sharesTrimQ2 2024 13F$201M$97.19$212.24
Snap Inc.SNAP$659M39.7M sharesAddQ2 2024 13F$199M$16.61$5.87
Cirrus Logic, Inc.CRUS$752M5.9M sharesAddQ2 2024 13F$198M$127.66$165.66
BlackRock trim Unmapped 13F securityPORTFOLIO$-196.5MTrimQ2 2024 13F$197M----
CNH Industrial N.V. Common SharesCNHI$839M82.8M sharesTrimQ2 2024 13F$196M$10.13$11.45
Corteva IncCTVA$2.9B53.7M sharesTrimQ2 2024 13F$196M$53.94$75.86
Jazz Pharmaceuticals plcJAZZ$656M6.1M sharesTrimQ2 2024 13F$195M$106.73$237.56
BlackRock add Unmapped 13F securityPORTFOLIO$568M1.2M sharesAddQ2 2024 13F$195M$479.11--
Snap-On IncSNA$1.1B4.1M sharesTrimQ2 2024 13F$195M$261.39$372.13
BlackRock add Unmapped 13F securityPORTFOLIO$352M8.6M sharesAddQ2 2024 13F$195M$40.85--
Host Hotels & Resorts IncHST$1.4B76.6M sharesTrimQ2 2024 13F$194M$17.98$23.48
Bath & Body Works IncBBWI$616M15.8M sharesTrimQ2 2024 13F$194M$39.05$19.45
Oshkosh CorpOSK$976M9M sharesTrimQ2 2024 13F$193M$108.20$129.49
Paychex IncPAYX$3.3B28M sharesTrimQ2 2024 13F$193M$118.56$98.92
BlackRock trim Unmapped 13F securityPORTFOLIO$1.3B5M sharesTrimQ2 2024 13F$193M$266.41--
Brown-Forman CorporationBF-B$599M13.9M sharesTrimQ2 2024 13F$193M$43.19$25.94
Steris PLCSTE$2.0B9.2M sharesTrimQ2 2024 13F$192M$217.24$212.87
Transocean Ltd.RIG$347M64.9M sharesAddQ2 2024 13F$191M$5.78$6.17
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