BlackRock Investment Management, LLC

données du 31/12/2016

Capitalisation

$ 86.393 B 6.20 %

Période de détention moyenne

22 ans

Performance

$ 79.765 T 40 663.47 %

Capitalisation

Taille du portefeuille

Performance du portefeuille

Performance du portefeuille %

Performances par rapport au S&P 500 (%)

Entreprise dans BlackRock Investment Management, LLC

Date Symbol Nom Poids Capitalisation Nombre d'action 1er ajout Performance ($) Performance (%)
2016/12/31 AAPL APPLE INC 2.08% 1.795 B $ 15495124 2007/09/28 42.887 M $ 2.48 %
2016/12/31 MSFT MICROSOFT CORP 2.08% 1.793 B $ 28848433 2007/09/28 123.651 M $ 7.88 %
2016/12/31 JPM JPMORGAN CHASE & CO 1.63% 1.409 B $ 16324695 2007/09/28 342.417 M $ 29.58 %
2016/12/31 AMZN AMAZON COM INC 1.27% 1.099 B $ 1465064 2007/09/28 -121.393 M $ -10.46 %
2016/12/31 C CITIGROUP INC 1.24% 1.071 B $ 18027197 2011/06/30 210.191 M $ 25.83 %
2016/12/31 GOOGL ALPHABET INC 1.22% 1.050 B $ 1325542 2015/12/31 -16.053 M $ -1.44 %
2016/12/31 XOM EXXON MOBIL CORP 1.16% 1.001 B $ 11093348 2007/09/28 33.807 M $ 3.41 %
2016/12/31 PFE PFIZER INC 1.14% 983.332 M $ 30274998 2007/09/28 -41.225 M $ -4.11 %
2016/12/31 WFC WELLS FARGO & CO NEW 0.99% 856.408 M $ 15539971 2007/09/28 164.445 M $ 24.46 %
2016/12/31 UNH UNITEDHEALTH GROUP INC 0.98% 843.968 M $ 5273483 2007/09/28 109.529 M $ 14.31 %
2016/12/31 GE GENERAL ELECTRIC CO 0.94% 815.598 M $ 25810079 2007/09/28 34.238 M $ 4.16 %
2016/12/31 JNJ JOHNSON & JOHNSON 0.93% 807.217 M $ 7006482 2007/09/28 -21.182 M $ -2.47 %
2016/12/31 META FACEBOOK INC 0.90% 781.406 M $ 6791884 2012/06/30 -108.745 M $ -10.31 %
2016/12/31 BAC BANK AMER CORP 0.90% 773.213 M $ 34987036 2007/09/28 177.547 M $ 41.21 %
2016/12/31 BRK-B BERKSHIRE HATHAWAY INC DEL 0.87% 752.399 M $ 4616512 2010/03/31 83.769 M $ 12.81 %
2016/12/31 CMCSA COMCAST CORP NEW 0.87% 750.264 M $ 10865521 2007/09/28 29.762 M $ 4.10 %
2016/12/31 VZ VERIZON COMMUNICATIONS INC 0.85% 737.614 M $ 13818175 2007/09/28 19.099 M $ 2.69 %
2016/12/31 HD HOME DEPOT INC 0.83% 716.693 M $ 5345265 2007/09/28 29.814 M $ 4.20 %
2016/12/31 GOOG ALPHABET INC 0.77% 662.270 M $ 858063 2015/12/31 -4.482 M $ -0.69 %
2016/12/31 CVX CHEVRON CORP NEW 0.75% 647.453 M $ 5500874 2007/09/28 80.162 M $ 14.36 %
2016/12/31 CSCO CISCO SYS INC 0.73% 634.055 M $ 20981315 2007/09/28 -31.297 M $ -4.73 %
2016/12/31 PG PROCTER AND GAMBLE CO 0.62% 534.238 M $ 6353926 2007/09/28 -34.978 M $ -6.32 %
2016/12/31 T AT&T INC 0.61% 529.566 M $ 12451582 2007/09/28 22.823 M $ 4.73 %
2016/12/31 MRK MERCK & CO INC 0.61% 527.974 M $ 8968464 2009/12/31 -35.767 M $ -5.68 %
2016/12/31 USB US BANCORP DEL 0.59% 513.557 M $ 9997222 2007/09/28 90.723 M $ 19.77 %
2016/12/31 INTC INTEL CORP 0.59% 509.895 M $ 14058304 2007/09/28 -19.587 M $ -3.92 %
2016/12/31 V VISA INC 0.58% 504.435 M $ 6465460 2008/06/30 -35.472 M $ -5.66 %
2016/12/31 MO ALTRIA GROUP INC 0.57% 493.657 M $ 7300453 2007/09/28 32.128 M $ 6.94 %
2016/12/31 KO COCA COLA CO 0.57% 489.436 M $ 11805010 2007/09/28 -10.187 M $ -2.03 %
2016/12/31 QCOM QUALCOMM INC 0.56% 486.191 M $ 7456916 2007/09/28 -25.809 M $ -4.82 %
2016/12/31 SLB SCHLUMBERGER LTD 0.51% 436.285 M $ 5196963 2007/09/28 27.389 M $ 6.75 %
2016/12/31 ORCL ORACLE CORP 0.48% 414.797 M $ 10787969 2007/09/28 -8.544 M $ -2.11 %
2016/12/31 GS GOLDMAN SACHS GROUP INC 0.48% 413.021 M $ 1724873 2007/09/28 137.432 M $ 48.48 %
2016/12/31 MS MORGAN STANLEY 0.47% 405.131 M $ 9588895 2007/09/28 90.677 M $ 31.78 %
2016/12/31 STI SUNTRUST BKS INC 0.46% 401.232 M $ 7315081 2007/09/28 0.000 $ 0.00 %
2016/12/31 MMM 3M CO 0.46% 400.432 M $ 2242434 2007/09/28 4.374 M $ 1.11 %
2016/12/31 GILD GILEAD SCIENCES INC 0.46% 400.381 M $ 5591136 2007/09/28 -42.408 M $ -9.49 %
2016/12/31 PM PHILIP MORRIS INTL INC 0.45% 384.677 M $ 4204576 2008/06/30 -23.417 M $ -5.89 %
2016/12/31 AET AETNA INC NEW 0.42% 364.632 M $ 2940343 2007/09/28 28.551 M $ 7.41 %
2016/12/31 PEP PEPSICO INC 0.42% 362.622 M $ 3465751 2007/09/28 -13.487 M $ -3.81 %
2016/12/31 DIS DISNEY WALT CO 0.39% 340.589 M $ 3267978 2007/09/28 35.105 M $ 12.23 %
2016/12/31 PRICELINE GRP INC 0.39% 338.314 M $ 230764 2007/09/28 -1.177 M $ -0.37 %
2016/12/31 HON HONEYWELL INTL INC 0.37% 318.162 M $ 2746328 2007/09/28 -233.190 K $ -0.07 %
2016/12/31 AIG AMERICAN INTL GROUP INC 0.37% 316.727 M $ 4849601 2009/09/30 31.647 M $ 10.06 %
2016/12/31 BIIB BIOGEN INC 0.36% 314.138 M $ 1107758 2007/09/28 -27.945 M $ -9.41 %
2016/12/31 WBA WALGREENS BOOTS ALLIANCE INC 0.36% 312.638 M $ 3777647 2014/12/31 6.445 M $ 2.65 %
2016/12/31 DOW DOW CHEM CO 0.36% 310.420 M $ 5425018 2007/09/28 0.000 $ 0.00 %
2016/12/31 IBM INTERNATIONAL BUSINESS MACHS 0.36% 310.300 M $ 1869391 2007/09/28 12.582 M $ 4.49 %
2016/12/31 OXY OCCIDENTAL PETE CORP DEL 0.35% 299.779 M $ 4208601 2007/09/28 -7.625 M $ -2.32 %
2016/12/31 NFLX NETFLIX INC 0.34% 297.400 M $ 2402261 2007/09/28 61.534 M $ 25.62 %
2016/12/31 NKE NIKE INC 0.34% 293.063 M $ 5765543 2007/09/28 -8.692 M $ -3.46 %
2016/12/31 UPS UNITED PARCEL SERVICE INC 0.33% 285.761 M $ 2492683 2007/09/28 13.262 M $ 4.83 %
2016/12/31 ALXN ALEXION PHARMACEUTICALS INC 0.33% 282.022 M $ 2305045 2007/09/28 -426.298 K $ -0.16 %
2016/12/31 CVS CVS HEALTH CORP 0.33% 281.885 M $ 3572237 2007/09/28 -36.745 M $ -11.33 %
2016/12/31 DAL DELTA AIR LINES INC DEL 0.33% 281.301 M $ 5718661 2007/09/28 31.243 M $ 24.97 %
2016/12/31 RTN RAYTHEON CO 0.32% 279.132 M $ 1965719 2007/09/28 13.856 M $ 4.31 %
2016/12/31 HUM HUMANA INC 0.32% 277.664 M $ 1360896 2007/09/28 19.364 M $ 15.34 %
2016/12/31 IVV ISHARES TR 0.32% 276.491 M $ 1228904 2012/03/31 5.200 M $ 3.42 %
2016/12/31 PRU PRUDENTIAL FINL INC 0.32% 275.020 M $ 2642902 2007/09/28 63.297 M $ 27.45 %
2016/12/31 AMGN AMGEN INC 0.32% 273.753 M $ 1872324 2007/09/28 -46.476 M $ -12.35 %
2016/12/31 KR KROGER CO 0.32% 272.734 M $ 7903035 2007/09/28 38.760 M $ 16.27 %
2016/12/31 NEE NEXTERA ENERGY INC 0.31% 270.927 M $ 2267931 2010/06/30 -6.333 M $ -2.32 %
2016/12/31 DD DU PONT E I DE NEMOURS & CO 0.31% 268.506 M $ 3658125 2007/09/28 24.101 M $ 8.05 %
2016/12/31 MPC MARATHON PETE CORP 0.31% 266.861 M $ 5300127 2011/09/30 55.132 M $ 24.05 %
2016/12/31 DFS DISCOVER FINL SVCS 0.31% 263.532 M $ 3655593 2007/09/28 52.864 M $ 27.48 %
2016/12/31 MCD MCDONALDS CORP 0.30% 256.574 M $ 2107907 2007/09/28 13.043 M $ 5.51 %
2016/12/31 LOW LOWES COS INC 0.30% 256.558 M $ 3607398 2007/09/28 -3.640 M $ -1.51 %
2016/12/31 ABBV ABBVIE INC 0.29% 253.807 M $ 4053124 2013/03/31 -1.743 M $ -0.71 %
2016/12/31 IWF ISHARES TR 0.29% 251.794 M $ 2400326 2013/06/30 1.706 M $ 0.70 %
2016/12/31 MA MASTERCARD INCORPORATED 0.29% 248.215 M $ 2404023 2007/09/28 3.120 M $ 1.45 %
2016/12/31 BROADCOM LTD 0.29% 247.145 M $ 1398118 2016/03/31 5.370 M $ 2.46 %
2016/12/31 LMT LOCKHEED MARTIN CORP 0.28% 241.451 M $ 966034 2007/09/28 10.077 M $ 4.26 %
2016/12/31 ATVI ACTIVISION BLIZZARD INC 0.28% 240.234 M $ 6652829 2008/09/30 -58.089 M $ -18.49 %
2016/12/31 EXC EXELON CORP 0.28% 238.200 M $ 6711749 2007/09/28 14.873 M $ 6.60 %
2016/12/31 EOG EOG RES INC 0.27% 236.231 M $ 2336605 2007/09/28 10.700 M $ 4.54 %
2016/12/31 UNP UNION PAC CORP 0.27% 235.022 M $ 2266806 2007/09/28 13.975 M $ 6.31 %
2016/12/31 MDT MEDTRONIC PLC 0.27% 233.118 M $ 3272747 2015/03/31 -49.594 M $ -17.56 %
2016/12/31 ELV ANTHEM INC 0.27% 230.325 M $ 1602036 2014/12/31 31.288 M $ 14.73 %
2016/12/31 MET METLIFE INC 0.26% 222.863 M $ 4135522 2007/09/28 41.521 M $ 21.29 %
2016/12/31 BMY BRISTOL MYERS SQUIBB CO 0.26% 222.850 M $ 3813305 2007/09/28 16.946 M $ 8.38 %
2016/12/31 NOC NORTHROP GRUMMAN CORP 0.25% 219.434 M $ 943477 2007/09/28 18.310 M $ 8.71 %
2016/12/31 SU SUNCOR ENERGY INC NEW 0.25% 219.198 M $ 6705347 2009/09/30 31.153 M $ 17.67 %
2016/12/31 BDX BECTON DICKINSON & CO 0.25% 218.082 M $ 1317319 2007/09/28 -20.546 M $ -7.89 %
2016/12/31 APA APACHE CORP 0.25% 217.562 M $ 3427798 2007/09/28 -1.379 M $ -0.63 %
2016/12/31 D DOMINION RES INC VA NEW 0.25% 214.988 M $ 2806995 2007/09/28 6.914 M $ 3.12 %
2016/12/31 WMT WAL-MART STORES INC 0.25% 213.021 M $ 3081903 2007/09/28 -8.391 M $ -4.16 %
2016/12/31 STZ CONSTELLATION BRANDS INC 0.24% 209.422 M $ 1366005 2007/09/28 -17.005 M $ -7.92 %
2016/12/31 CELG CELGENE CORP 0.24% 206.709 M $ 1785822 2007/09/28 18.969 M $ 10.73 %
2016/12/31 TRV TRAVELERS COMPANIES INC 0.24% 203.004 M $ 1658262 2007/09/28 15.441 M $ 6.87 %
2016/12/31 AGN ALLERGAN PLC 0.23% 201.426 M $ 959127 2015/06/30 -16.771 M $ -8.81 %
2016/12/31 MDLZ MONDELEZ INTL INC 0.23% 200.798 M $ 4529616 2012/12/31 2.031 M $ 0.98 %
2016/12/31 COF CAPITAL ONE FINL CORP 0.23% 200.140 M $ 2294126 2007/09/28 36.444 M $ 21.45 %
2016/12/31 DVN DEVON ENERGY CORP NEW 0.23% 199.397 M $ 4366031 2007/09/28 6.537 M $ 3.54 %
2016/12/31 MRO MARATHON OIL CORP 0.23% 197.758 M $ 11424471 2007/09/28 17.636 M $ 9.49 %
2016/12/31 BA BOEING CO 0.22% 193.714 M $ 1244306 2007/09/28 31.727 M $ 18.17 %
2016/12/31 UNITED TECHNOLOGIES CORP 0.22% 190.376 M $ 1736688 2007/09/28 13.339 M $ 7.89 %
2016/12/31 COST COSTCO WHSL CORP NEW 0.22% 189.141 M $ 1181321 2007/09/28 9.958 M $ 4.98 %
2016/12/31 DG DOLLAR GEN CORP NEW 0.21% 184.095 M $ 2485415 2009/12/31 11.363 M $ 5.83 %
2016/12/31 SBUX STARBUCKS CORP 0.21% 182.106 M $ 3280010 2007/09/28 4.945 M $ 2.55 %
2016/12/31 PXD PIONEER NAT RES CO 0.21% 181.121 M $ 1005837 2007/09/28 -5.844 M $ -3.01 %