BlackRock Group LTD

data from 31/12/2016

Capitalization

$ 210.087 B 5.72 %

Average holding period

22 ans

Performance

$ 1.863 T 242 297.96 %

Capitalization

Portfolio size

Portfolio performance

Portfolio performance %

Performance compared to S&P 500 (%)

Stock in BlackRock Group LTD

Date Ticket Name Weight Capitalization Share number First added Performance ($) Performance (%)
2016/12/31 AAPL APPLE INC 2.67% 5.613 B $ 48461063 2007/09/28 132.572 M $ 2.48 %
2016/12/31 MSFT MICROSOFT CORP 1.95% 4.090 B $ 65818156 2007/09/28 295.315 M $ 7.88 %
2016/12/31 XOM EXXON MOBIL CORP 1.49% 3.128 B $ 34654637 2007/09/28 102.730 M $ 3.41 %
2016/12/31 JNJ JOHNSON & JOHNSON 1.40% 2.948 B $ 25591718 2007/09/28 -73.745 M $ -2.47 %
2016/12/31 JPM JPMORGAN CHASE & CO 1.33% 2.789 B $ 32316524 2007/09/28 622.422 M $ 29.58 %
2016/12/31 AMZN AMAZON COM INC 1.21% 2.549 B $ 3399603 2007/09/28 -281.083 M $ -10.46 %
2016/12/31 META FACEBOOK INC 1.11% 2.324 B $ 20201447 2012/06/30 -238.918 M $ -10.31 %
2016/12/31 GE GENERAL ELECTRIC CO 1.04% 2.189 B $ 69267721 2007/09/28 89.540 M $ 4.16 %
2016/12/31 GOOG ALPHABET INC 1.04% 2.182 B $ 2827414 2015/12/31 -15.193 M $ -0.69 %
2016/12/31 T AT&T INC 1.04% 2.181 B $ 51286124 2007/09/28 94.588 M $ 4.73 %
2016/12/31 WFC WELLS FARGO & CO NEW 1.03% 2.171 B $ 39398179 2007/09/28 434.392 M $ 24.46 %
2016/12/31 PFE PFIZER INC 1.01% 2.114 B $ 65100942 2007/09/28 -81.897 M $ -4.11 %
2016/12/31 BAC BANK AMER CORP 1.00% 2.102 B $ 95103102 2007/09/28 589.123 M $ 41.21 %
2016/12/31 CVX CHEVRON CORP NEW 0.94% 1.979 B $ 16813997 2007/09/28 239.165 M $ 14.36 %
2016/12/31 GOOGL ALPHABET INC 0.91% 1.915 B $ 2416169 2015/12/31 -27.166 M $ -1.44 %
2016/12/31 VZ VERIZON COMMUNICATIONS INC 0.91% 1.911 B $ 35805643 2007/09/28 49.039 M $ 2.69 %
2016/12/31 PG PROCTER AND GAMBLE CO 0.90% 1.881 B $ 22373248 2007/09/28 -125.327 M $ -6.32 %
2016/12/31 BRK-B BERKSHIRE HATHAWAY INC DEL 0.88% 1.857 B $ 11396020 2010/03/31 202.883 M $ 12.81 %
2016/12/31 CSCO CISCO SYS INC 0.80% 1.678 B $ 55525542 2007/09/28 -79.987 M $ -4.73 %
2016/12/31 C CITIGROUP INC 0.78% 1.639 B $ 27585925 2011/06/30 321.893 M $ 25.83 %
2016/12/31 INTC INTEL CORP 0.77% 1.617 B $ 44587967 2007/09/28 -61.931 M $ -3.92 %
2016/12/31 UNH UNITEDHEALTH GROUP INC 0.76% 1.602 B $ 10008179 2007/09/28 190.283 M $ 14.31 %
2016/12/31 MRK MERCK & CO INC 0.75% 1.576 B $ 26777686 2009/12/31 -92.630 M $ -5.68 %
2016/12/31 CMCSA COMCAST CORP NEW 0.72% 1.506 B $ 21814211 2007/09/28 57.165 M $ 4.10 %
2016/12/31 HD HOME DEPOT INC 0.69% 1.458 B $ 10874907 2007/09/28 55.537 M $ 4.20 %
2016/12/31 KO COCA COLA CO 0.69% 1.452 B $ 35016412 2007/09/28 -29.454 M $ -2.03 %
2016/12/31 DIS DISNEY WALT CO 0.66% 1.383 B $ 13272337 2007/09/28 136.650 M $ 12.23 %
2016/12/31 BABA ALIBABA GROUP HLDG LTD 0.64% 1.347 B $ 15334532 2014/09/30 -288.877 M $ -17.00 %
2016/12/31 PEP PEPSICO INC 0.64% 1.335 B $ 12758478 2007/09/28 -50.001 M $ -3.81 %
2016/12/31 IBM INTERNATIONAL BUSINESS MACHS 0.63% 1.319 B $ 7943996 2007/09/28 52.707 M $ 4.49 %
2016/12/31 V VISA INC 0.58% 1.217 B $ 15602163 2008/06/30 -72.326 M $ -5.66 %
2016/12/31 SLB SCHLUMBERGER LTD 0.56% 1.176 B $ 14006544 2007/09/28 70.545 M $ 6.75 %
2016/12/31 MO ALTRIA GROUP INC 0.55% 1.162 B $ 17188651 2007/09/28 75.177 M $ 6.94 %
2016/12/31 AMGN AMGEN INC 0.51% 1.067 B $ 7297633 2007/09/28 -148.300 M $ -12.35 %
2016/12/31 PM PHILIP MORRIS INTL INC 0.50% 1.050 B $ 11471369 2008/06/30 -61.636 M $ -5.89 %
2016/12/31 QCOM QUALCOMM INC 0.50% 1.046 B $ 16048942 2007/09/28 -51.454 M $ -4.82 %
2016/12/31 MA MASTERCARD INCORPORATED 0.49% 1.029 B $ 9963083 2007/12/31 15.067 M $ 1.45 %
2016/12/31 GILD GILEAD SCIENCES INC 0.48% 1.018 B $ 14221079 2007/09/28 -98.665 M $ -9.49 %
2016/12/31 MCD MCDONALDS CORP 0.46% 970.551 M $ 7973628 2007/09/28 51.784 M $ 5.51 %
2016/12/31 MMM 3M CO 0.46% 958.209 M $ 5366008 2007/09/28 10.272 M $ 1.11 %
2016/12/31 WMT WAL-MART STORES INC 0.45% 940.447 M $ 13606025 2007/09/28 -37.420 M $ -4.16 %
2016/12/31 ORCL ORACLE CORP 0.44% 924.403 M $ 24041670 2007/09/28 -19.143 M $ -2.11 %
2016/12/31 NEM NEWMONT MINING CORP 0.43% 910.773 M $ 26732435 2007/09/28 -136.470 M $ -13.29 %
2016/12/31 MDT MEDTRONIC PLC 0.43% 898.582 M $ 12615199 2015/03/31 -189.427 M $ -17.56 %
2016/12/31 ABBV ABBVIE INC 0.42% 891.855 M $ 14242346 2012/12/31 -6.003 M $ -0.71 %
2016/12/31 SPG SIMON PPTY GROUP INC NEW 0.42% 890.210 M $ 5010475 2007/09/28 -144.557 M $ -14.17 %
2016/12/31 GS GOLDMAN SACHS GROUP INC 0.42% 880.923 M $ 3678945 2007/09/28 269.417 M $ 48.48 %
2016/12/31 BMY BRISTOL MYERS SQUIBB CO 0.42% 871.894 M $ 14919472 2007/09/28 67.538 M $ 8.38 %
2016/12/31 CVS CVS HEALTH CORP 0.41% 858.908 M $ 10884651 2007/09/28 -101.314 M $ -11.33 %
2016/12/31 CELG CELGENE CORP 0.41% 854.451 M $ 7381858 2007/09/28 76.421 M $ 10.73 %
2016/12/31 SPY SPDR S&P 500 ETF TR 0.39% 812.531 M $ 3635000 2012/12/31 8.951 M $ 3.34 %
2016/12/31 USB US BANCORP DEL 0.37% 786.321 M $ 15307020 2007/09/28 134.229 M $ 19.77 %
2016/12/31 ACN ACCENTURE PLC IRELAND 0.37% 777.599 M $ 6638764 2009/09/30 -32.351 M $ -4.13 %
2016/12/31 TXN TEXAS INSTRS INC 0.36% 761.163 M $ 10431178 2007/09/28 28.795 M $ 3.98 %
2016/12/31 WBA WALGREENS BOOTS ALLIANCE INC 0.36% 753.399 M $ 9103427 2014/12/31 16.180 M $ 2.65 %
2016/12/31 UPS UNITED PARCEL SERVICE INC 0.35% 727.732 M $ 6347968 2007/09/28 31.256 M $ 4.83 %
2016/12/31 SBUX STARBUCKS CORP 0.34% 717.108 M $ 12916214 2007/09/28 17.753 M $ 2.55 %
2016/12/31 UNITED TECHNOLOGIES CORP 0.34% 707.914 M $ 6457890 2007/09/28 49.289 M $ 7.89 %
2016/12/31 AGN ALLERGAN PLC 0.34% 704.267 M $ 3353487 2015/06/30 -66.710 M $ -8.81 %
2016/12/31 BA BOEING CO 0.33% 700.386 M $ 4498883 2007/09/28 101.908 M $ 18.17 %
2016/12/31 UNP UNION PAC CORP 0.33% 693.928 M $ 6692974 2007/09/28 38.610 M $ 6.31 %
2016/12/31 LLY LILLY ELI & CO 0.32% 680.246 M $ 9248749 2007/09/28 -67.409 M $ -8.36 %
2016/12/31 LOW LOWES COS INC 0.32% 673.578 M $ 9471006 2007/09/28 -9.292 M $ -1.51 %
2016/12/31 CB CHUBB LIMITED 0.32% 665.826 M $ 5039551 2016/03/31 30.343 M $ 5.15 %
2016/12/31 COP CONOCOPHILLIPS 0.31% 654.419 M $ 13051816 2007/09/28 82.546 M $ 15.34 %
2016/12/31 HON HONEYWELL INTL INC 0.30% 639.371 M $ 5518938 2007/09/28 -445.550 K $ -0.07 %
2016/12/31 NEE NEXTERA ENERGY INC 0.30% 636.618 M $ 5329130 2010/06/30 -13.613 M $ -2.32 %
2016/12/31 EOG EOG RES INC 0.30% 635.657 M $ 6287410 2007/09/28 24.706 M $ 4.54 %
2016/12/31 BIIB BIOGEN INC 0.30% 621.428 M $ 2191369 2007/09/28 -59.670 M $ -9.41 %
2016/12/31 TWX TIME WARNER INC 0.30% 619.809 M $ 6420913 2009/06/30 113.890 M $ 21.25 %
2016/12/31 DD DU PONT E I DE NEMOURS & CO 0.29% 608.249 M $ 8286781 2007/09/28 42.805 M $ 8.05 %
2016/12/31 MDLZ MONDELEZ INTL INC 0.29% 606.627 M $ 13684322 2012/12/31 5.862 M $ 0.98 %
2016/12/31 PRICELINE GRP INC 0.29% 603.393 M $ 411573 2007/09/28 -2.173 M $ -0.37 %
2016/12/31 MS MORGAN STANLEY 0.28% 586.035 M $ 13870672 2007/09/28 124.437 M $ 31.78 %
2016/12/31 COST COSTCO WHSL CORP NEW 0.27% 577.380 M $ 3606140 2007/09/28 26.284 M $ 4.98 %
2016/12/31 AIG AMERICAN INTL GROUP INC 0.27% 576.972 M $ 8834350 2009/09/30 55.489 M $ 10.06 %
2016/12/31 ADP AUTOMATIC DATA PROCESSING IN 0.27% 566.167 M $ 5508529 2007/09/28 83.263 M $ 16.53 %
2016/12/31 BROADCOM LTD 0.27% 564.862 M $ 3195464 2016/03/31 12.947 M $ 2.46 %
2016/12/31 RANDGOLD RES LTD 0.27% 563.604 M $ 7382819 2007/09/28 -172.796 M $ -23.71 %
2016/12/31 OXY OCCIDENTAL PETE CORP DEL 0.27% 558.913 M $ 7846574 2007/09/28 -12.609 M $ -2.32 %
2016/12/31 DOW DOW CHEM CO 0.26% 552.363 M $ 9653331 2007/09/28 0.000 $ 0.00 %
2016/12/31 MET METLIFE INC 0.26% 546.122 M $ 10134041 2007/09/28 100.077 M $ 21.29 %
2016/12/31 TJX TJX COS INC NEW 0.26% 544.155 M $ 7242842 2007/09/28 2.550 M $ 0.48 %
2016/12/31 ANADARKO PETE CORP 0.26% 541.457 M $ 7765072 2007/09/28 49.345 M $ 10.05 %
2016/12/31 SCHW SCHWAB CHARLES CORP NEW 0.26% 537.886 M $ 13627711 2007/09/28 110.710 M $ 25.02 %
2016/12/31 NKE NIKE INC 0.26% 536.578 M $ 10556302 2007/09/28 -19.315 M $ -3.46 %
2016/12/31 CHTR CHARTER COMMUNICATIONS INC N 0.25% 526.711 M $ 1829369 2016/06/30 31.454 M $ 6.65 %
2016/12/31 ELV ANTHEM INC 0.25% 526.493 M $ 3662040 2014/12/31 66.349 M $ 14.73 %
2016/12/31 AET AETNA INC NEW 0.25% 516.029 M $ 4161185 2007/09/28 39.709 M $ 7.41 %
2016/12/31 PRU PRUDENTIAL FINL INC 0.24% 513.975 M $ 4939228 2007/09/28 118.609 M $ 27.45 %
2016/12/31 BIDU BAIDU INC 0.24% 508.588 M $ 3093410 2012/06/30 -61.519 M $ -9.70 %
2016/12/31 DHR DANAHER CORP DEL 0.24% 500.585 M $ 6430961 2007/09/28 -3.132 M $ -0.69 %
2016/12/31 PSA PUBLIC STORAGE 0.24% 500.364 M $ 2238769 2007/12/31 818.749 K $ 0.16 %
2016/12/31 ABT ABBOTT LABS 0.24% 499.863 M $ 13013924 2007/09/28 -49.660 M $ -9.17 %
2016/12/31 CME CME GROUP INC 0.23% 491.855 M $ 4264018 2007/09/28 49.111 M $ 10.36 %
2016/12/31 SO SOUTHERN CO 0.23% 488.996 M $ 9940991 2007/09/28 -20.540 M $ -4.11 %
2016/12/31 LMT LOCKHEED MARTIN CORP 0.23% 484.297 M $ 1937649 2007/09/28 17.910 M $ 4.26 %
2016/12/31 DUK DUKE ENERGY CORP NEW 0.23% 482.685 M $ 6218557 2012/09/30 -14.394 M $ -3.02 %
2016/12/31 ADBE ADOBE SYS INC 0.23% 481.113 M $ 4673251 2007/09/28 -27.276 M $ -5.15 %
2016/12/31 TRV TRAVELERS COMPANIES INC 0.23% 478.810 M $ 3911194 2007/09/28 29.785 M $ 6.87 %