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BLACKROCK ADVISORS LLC Current Holdings: USA Other Stocks

BLACKROCK ADVISORS LLC current holdings: USA Other Stocks

BLACKROCK ADVISORS LLC reported $17.18 billion in shares no fund filing gives a ticker for, so this site has no page for them (listed in the US), 1,568 positions, in its Form 13F for the quarter ended 2016-09-30; the largest are GENERAL ELECTRIC CO, AETNA INC NEW, SUNTRUST BKS INC.

  • GENERAL ELECTRIC CO: Country of operation United States; Class COM; Shares 36,226,230; Value $1,073,021,000.
  • AETNA INC NEW: Country of operation —; Class COM; Shares 7,148,304; Value $825,271,000.
  • SUNTRUST BKS INC: Country of operation —; Class COM; Shares 12,310,632; Value $539,206,000.
  • DU PONT E I DE NEMOURS & CO: Country of operation —; Class COM; Shares 7,857,987; Value $526,249,000.

Form 13F-HR as filed (SEC CIK 1086364): quarter ended 2016-09-30, filed 2016-11-08. The manager files one row per sub-manager; rows for the same security, class and put/call are added together.

StockCountry of operationClassSharesValueQuarter endFiled
GENERAL ELECTRIC CO
CUSIP 369604103
United StatesCOM36,226,230$1,073,021,0002016-09-302016-11-08
AETNA INC NEW
CUSIP 00817Y108
COM7,148,304$825,271,0002016-09-302016-11-08
SUNTRUST BKS INC
CUSIP 867914103
COM12,310,632$539,206,0002016-09-302016-11-08
DU PONT E I DE NEMOURS & CO
CUSIP 263534109
COM7,857,987$526,249,0002016-09-302016-11-08
RAYTHEON CO
CUSIP 755111507
COM NEW3,649,118$496,755,0002016-09-302016-11-08
ANADARKO PETE CORP
CUSIP 032511107
COM7,450,444$472,060,0002016-09-302016-11-08
MARATHON OIL CORP
CUSIP 565849106
United StatesCOM28,282,126$447,140,0002016-09-302016-11-08
ACTIVISION BLIZZARD INC
CUSIP 00507V109
United StatesCOM8,555,997$379,030,0002016-09-302016-11-08
DOW CHEM CO
CUSIP 260543103
United StatesCOM6,426,334$333,078,0002016-09-302016-11-08
DISCOVER FINL SVCS
CUSIP 254709108
United StatesCOM5,502,924$311,190,0002016-09-302016-11-08
HESS CORP
CUSIP 42809H107
United StatesCOM5,753,331$308,494,0002016-09-302016-11-08
PIONEER NAT RES CO
CUSIP 723787107
United StatesCOM1,652,653$306,815,0002016-09-302016-11-08
WALGREENS BOOTS ALLIANCE INC
CUSIP 931427108
United StatesCOM3,625,114$292,257,0002016-09-302016-11-08
NIELSEN HLDGS PLC
CUSIP G6518L108
SHS EUR5,319,514$284,966,0002016-09-302016-11-08
ALEXION PHARMACEUTICALS INC
CUSIP 015351109
COM2,286,891$280,236,0002016-09-302016-11-08
APACHE CORP
CUSIP 037411105
COM4,198,155$268,136,0002016-09-302016-11-08
ALLERGAN PLC
CUSIP G0177J108
SHS1,144,909$263,684,0002016-09-302016-11-08
PRICELINE GRP INC
CUSIP 741503403
COM NEW149,408$219,852,0002016-09-302016-11-08
CELGENE CORP
CUSIP 151020104
COM2,025,560$211,732,0002016-09-302016-11-08
UNILEVER N V
CUSIP 904784709
N Y SHS NEW4,283,576$197,472,0002016-09-302016-11-08
CONCHO RES INC
CUSIP 20605P101
COM1,346,163$184,896,0002016-09-302016-11-08
AMERICAN CAP LTD
CUSIP 02503Y103
COM10,911,215$184,509,0002016-09-302016-11-08
FLEETCOR TECHNOLOGIES INC
CUSIP 339041105
United StatesCOM1,025,814$178,215,0002016-09-302016-11-08
TIME WARNER INC
CUSIP 887317303
COM NEW2,179,670$173,523,0002016-09-302016-11-08
MYLAN N V
CUSIP N59465109
SHS EURO4,533,129$172,803,0002016-09-302016-11-08
BERKSHIRE HATHAWAY INC DEL
CUSIP 084670108
United StatesCL A796$172,111,0002016-09-302016-11-08
LAM RESEARCH CORP
CUSIP 512807108
United StatesCOM1,808,575$171,290,0002016-09-302016-11-08
CIGNA CORPORATION
CUSIP 125509109
COM1,266,710$165,078,0002016-09-302016-11-08
REYNOLDS AMERICAN INC
CUSIP 761713106
COM3,283,794$154,831,0002016-09-302016-11-08
ENCANA CORP
CUSIP 292505104
COM13,891,469$145,444,0002016-09-302016-11-08
BROADCOM LTD
CUSIP Y09827109
SHS800,710$138,138,0002016-09-302016-11-08
SBA COMMUNICATIONS CORP
CUSIP 78388J106
COM1,213,403$136,096,0002016-09-302016-11-08
BARD C R INC
CUSIP 067383109
COM583,325$130,828,0002016-09-302016-11-08
LIBERTY GLOBAL PLC
CUSIP G5480U104
SHS CL A3,723,191$127,258,0002016-09-302016-11-08
MONSANTO CO NEW
CUSIP 61166W101
COM1,238,111$126,534,0002016-09-302016-11-08
KANSAS CITY SOUTHERN
CUSIP 485170302
COM NEW1,291,945$120,564,0002016-09-302016-11-08
ST JUDE MED INC
CUSIP 790849103
COM1,507,384$120,229,0002016-09-302016-11-08
SPECTRA ENERGY CORP
CUSIP 847560109
COM2,752,980$117,690,0002016-09-302016-11-08
WESTROCK CO
CUSIP 96145D105
United StatesCOM2,371,052$114,949,0002016-09-302016-11-08
DR PEPPER SNAPPLE GROUP INC
CUSIP 26138E109
COM1,221,216$111,510,0002016-09-302016-11-08
WHOLE FOODS MKT INC
CUSIP 966837106
COM3,922,163$111,193,0002016-09-302016-11-08
GULFPORT ENERGY CORP
CUSIP 402635304
COM NEW3,642,804$102,909,0002016-09-302016-11-08
LABORATORY CORP AMER HLDGS
CUSIP 50540R409
United StatesCOM NEW721,898$99,247,0002016-09-302016-11-08
PRAXAIR INC
CUSIP 74005P104
COM780,460$94,303,0002016-09-302016-11-08
LIBERTY MEDIA CORP DELAWARE
CUSIP 531229607
United StatesCOM C SIRIUSXM2,767,059$92,447,0002016-09-302016-11-08
MICHAEL KORS HLDGS LTD
CUSIP G60754101
SHS1,955,300$91,488,0002016-09-302016-11-08
MALLINCKRODT PUB LTD CO
CUSIP G5785G107
SHS1,278,113$89,186,0002016-09-302016-11-08
SUPERIOR ENERGY SVCS INC
CUSIP 868157108
COM4,729,950$84,666,0002016-09-302016-11-08
DISH NETWORK CORP
CUSIP 25470M109
United StatesCL A1,478,124$80,972,0002016-09-302016-11-08
UNITED TECHNOLOGIES CORP
CUSIP 913017109
United StatesCOM774,826$78,722,0002016-09-302016-11-08
VANTIV INC
CUSIP 92210H105
CL A1,361,453$76,609,0002016-09-302016-11-08
BROOKFIELD ASSET MGMT INC
CUSIP 112585104
CL A LTD VT SH2,126,667$74,816,0002016-09-302016-11-08
BAKER HUGHES INC
CUSIP 057224107
COM1,434,422$72,395,0002016-09-302016-11-08
SCRIPPS NETWORKS INTERACT IN
CUSIP 811065101
CL A COM1,118,790$71,032,0002016-09-302016-11-08
TIFFANY & CO NEW
CUSIP 886547108
COM965,279$70,108,0002016-09-302016-11-08
CIMAREX ENERGY CO
CUSIP 171798101
COM519,792$69,844,0002016-09-302016-11-08
WABCO HLDGS INC
CUSIP 92927K102
COM591,418$67,144,0002016-09-302016-11-08
NUANCE COMMUNICATIONS INC
CUSIP 67020Y100
COM4,340,361$62,936,0002016-09-302016-11-08
BED BATH & BEYOND INC
CUSIP 075896100
COM1,415,418$61,018,0002016-09-302016-11-08
DYNEGY INC NEW DEL
CUSIP 26817R108
COM4,879,454$60,456,0002016-09-302016-11-08
CATALENT INC
CUSIP 148806102
United StatesCOM2,316,187$59,850,0002016-09-302016-11-08
CERNER CORP
CUSIP 156782104
COM964,334$59,548,0002016-09-302016-11-08
MEAD JOHNSON NUTRITION CO
CUSIP 582839106
COM693,287$54,777,0002016-09-302016-11-08
COOPER COS INC
CUSIP 216648402
United StatesCOM NEW305,440$54,753,0002016-09-302016-11-08
AMEDISYS INC
CUSIP 023436108
United StatesCOM1,129,468$53,582,0002016-09-302016-11-08
VERIFONE SYS INC
CUSIP 92342Y109
COM3,307,391$52,058,0002016-09-302016-11-08
ENERGEN CORP
CUSIP 29265N108
COM891,332$51,448,0002016-09-302016-11-08
NEW YORK CMNTY BANCORP INC
CUSIP 649445103
United StatesCOM3,602,979$51,270,0002016-09-302016-11-08
LIBERTY MEDIA CORP DELAWARE
CUSIP 531229409
United StatesCOM A SIRIUSXM1,475,057$50,123,0002016-09-302016-11-08
XL GROUP LTD
CUSIP G98294104
COM1,398,815$47,042,0002016-09-302016-11-08
WYNDHAM WORLDWIDE CORP
CUSIP 98310W108
COM693,427$46,688,0002016-09-302016-11-08
HD SUPPLY HLDGS INC
CUSIP 40416M105
COM1,365,127$43,657,0002016-09-302016-11-08
DELPHI AUTOMOTIVE PLC
CUSIP G27823106
SHS610,468$43,538,0002016-09-302016-11-08
PARSLEY ENERGY INC
CUSIP 701877102
CL A1,259,931$42,220,0002016-09-302016-11-08
FITBIT INC
CUSIP 33812L102
CL A2,787,321$41,364,0002016-09-302016-11-08
NOBLE ENERGY INC
CUSIP 655044105
COM1,155,548$41,300,0002016-09-302016-11-08
L-3 COMMUNICATIONS HLDGS INC
CUSIP 502424104
COM258,889$39,023,0002016-09-302016-11-08
PATHEON N V
CUSIP N6865W105
SHS1,236,375$36,634,0002016-09-302016-11-08
MAGELLAN MIDSTREAM PRTNRS LP
CUSIP 559080106
COM UNIT RP LP483,010$34,168,0002016-09-302016-11-08
GNC HLDGS INC
CUSIP 36191G107
COM CL A1,576,926$32,200,0002016-09-302016-11-08
POTASH CORP SASK INC
CUSIP 73755L107
COM1,946,535$31,767,0002016-09-302016-11-08
TOTAL SYS SVCS INC
CUSIP 891906109
COM597,713$28,182,0002016-09-302016-11-08
TESORO CORP
CUSIP 881609101
COM342,264$27,230,0002016-09-302016-11-08
CYRUSONE INC
CUSIP 23283R100
COM565,710$26,911,0002016-09-302016-11-08
GENER8 MARITIME INC
CUSIP Y26889108
COM5,096,155$26,092,0002016-09-302016-11-08
HARRIS CORP DEL
CUSIP 413875105
COM276,183$25,301,0002016-09-302016-11-08
RETAIL PPTYS AMER INC
CUSIP 76131V202
CL A1,453,201$24,414,0002016-09-302016-11-08
INTEGRATED DEVICE TECHNOLOGY
CUSIP 458118106
COM1,029,725$23,787,0002016-09-302016-11-08
SVB FINL GROUP
CUSIP 78486Q101
United StatesCOM214,820$23,746,0002016-09-302016-11-08
BLACKROCK INC
CUSIP 09247X101
United StatesCOM65,480$23,734,0002016-09-302016-11-08
ACCELERON PHARMA INC
CUSIP 00434H108
COM652,195$23,603,0002016-09-302016-11-08
PINNACLE FOODS INC DEL
CUSIP 72348P104
COM468,953$23,527,0002016-09-302016-11-08
MACQUARIE INFRASTRUCTURE COR
CUSIP 55608B105
COM282,165$23,487,0002016-09-302016-11-08
U S SILICA HLDGS INC
CUSIP 90346E103
United StatesCOM503,797$23,457,0002016-09-302016-11-08
B/E AEROSPACE INC
CUSIP 073302101
COM436,412$22,545,0002016-09-302016-11-08
DELL TECHNOLOGIES INC
CUSIP 24703L103
COM CL V466,131$22,281,0002016-09-302016-11-08
LIBERTY INTERACTIVE CORP
CUSIP 53071M880
LBT VENT COM A558,539$22,269,0002016-09-302016-11-08
LINKEDIN CORP
CUSIP 53578A108
COM CL A114,130$21,813,0002016-09-302016-11-08
WELLCARE HEALTH PLANS INC
CUSIP 94946T106
COM186,172$21,799,0002016-09-302016-11-08
PLATINUM GROUP METALS LTD
CUSIP 72765Q601
COM7,876,676$21,582,0002016-09-302016-11-08

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