HoldingsChannel.com
American International Group Inc. Top Holdings
As of  03/31/2019

   EntityAmountChange
 12/31/2018 to 03/31/2019
Position Size
($ in 1000's)
CISCO SYSTEMS INC 10,842,173 -440,189 $585,369
     CSCO10,842,173-440,189$585,369
PROCTER PLUS GAMBLE CO THE 5,320,504 -225,821 $553,598
     PG5,320,504-225,821$553,598
EXXON MOBIL CORP 6,310,026 -247,383 $509,850
     XOM6,310,026-247,383$509,850
KLA TENCOR CORP 4,227,375 -190,095 $504,791
     KLAC4,227,375-190,095$504,791
CHEVRON CORP 4,005,259 -153,928 $493,368
     CVX4,005,259-153,928$493,368
MCDONALD S CORP 2,568,285 -115,101 $487,717
     MCD2,568,285-115,101$487,717
LAM RESEARCH CORP 2,722,733 -125,850 $487,396
     LRCX2,722,733-125,850$487,396
VERIZON COMMUNICATIONS INC 8,183,180 -269,147 $483,871
     VZ8,183,180-269,147$483,871
GENERAL MILLS INC 9,225,895 -456,925 $477,440
     GIS9,225,895-456,925$477,440
JPMORGAN CHASE PLUS CO 4,660,346 -221,775 $471,767
     JPM4,660,346-221,775$471,767
PFIZER INC 10,986,121 -542,626 $466,581
     PFE10,986,121-542,626$466,581
PHILIP MORRIS INTERNATIONAL 5,108,628 -222,813 $451,552
     PM5,108,628-222,813$451,552
TEXAS INSTRUMENTS INC 4,118,700 -202,055 $436,871
     TXN4,118,700-202,055$436,871
INTL BUSINESS MACHINES CORP 3,094,468 -114,688 $436,629
     IBM3,094,468-114,688$436,629
COCA COLA CO THE 9,265,033 -409,207 $434,159
     KO9,265,033-409,207$434,159
LAS VEGAS SANDS CORP 6,571,740 -343,173 $400,613
     LVS6,571,740-343,173$400,613
WHIRLPOOL CORP 2,972,448 -147,160 $395,009
     WHR2,972,448-147,160$395,009
OMNICOM GROUP 5,409,340 -274,213 $394,828
     OMC5,409,340-274,213$394,828
ALTRIA GROUP INC 6,823,091 -299,969 $391,850
     MO6,823,091-299,969$391,850
MICROSOFT CORP 3,281,596 -37,533 $387,031
     MSFT3,281,596-37,533$387,031
MAXIM INTEGRATED PRODUCTS 7,262,544 -375,577 $386,149
     MXIM7,262,544-375,577$386,149
GAP INC THE 14,498,094 -670,933 $379,560
     GPS14,498,094-670,933$379,560
GILEAD SCIENCES INC 5,834,335 -257,329 $379,290
     GILD5,834,335-257,329$379,290
ABBVIE INC 4,678,850 -228,016 $377,069
     ABBV4,678,850-228,016$377,069
APPLE INC 1,940,644 -18,705 $368,625
     AAPL1,940,644-18,705$368,625
CARDINAL HEALTH INC 7,478,899 -352,772 $360,109
     CAH7,478,899-352,772$360,109
WESTERN DIGITAL CORP 7,098,691 -346,173 $341,163
     WDC7,098,691-346,173$341,163
LYONDELLBASELL INDU CL A 4,055,716 -191,325 $341,005
     LYB4,055,716-191,325$341,005
L BRANDS INC 11,680,345 -544,513 $322,144
     LB11,680,345-544,513$322,144
HP INC 16,277,942 -817,685 $316,280
     HPQ16,277,942-817,685$316,280
AMAZON.COM INC 160,851 -247 $286,435
     AMZN160,851-247$286,435
MACY S INC 11,479,945 -546,207 $275,863
     M11,479,945-546,207$275,863
KRAFT HEINZ CO THE 7,428,938 -263,478 $242,555
     KHC7,428,938-263,478$242,555
ALPHABET INC CL A 141,699 -579 $166,764
     GOOGL141,699-579$166,764
FACEBOOK INC CLASS A 906,346 -12,295 $151,079
     FB906,346-12,295$151,079
ALPHABET INC CL C 122,695 -849 $143,959
     GOOG122,695-849$143,959
JOHNSON PLUS JOHNSON 1,003,428 -36,749 $140,269
     JNJ1,003,428-36,749$140,269
BERKSHIRE HATHAWAY INC CL B      $129,274
     BRK.B643,508-122,495$129,274
INTEL CORP 2,083,214 -114,787 $111,869
     INTC2,083,214-114,787$111,869
VISA INC CLASS A SHARES (V) 692,379 -7,145 $108,143
     V692,379-7,145$108,143
MERCK PLUS CO. INC. 1,155,181 +141,157 $96,076
     MRK1,155,181+141,157$96,076
HOME DEPOT INC 489,957 +962 $94,018
     HD489,957+962$94,018
PEPSICO INC 705,136 +2,607 $86,414
     PEP705,136+2,607$86,414
BANK OF AMERICA CORP 3,055,335 -167,286 $84,297
     BAC3,055,335-167,286$84,297
MASTERCARD INC A 350,708 -4,443 $82,574
     MA350,708-4,443$82,574
COMCAST CORP CLASS A 2,059,843 -319,163 $82,353
     CMCSA2,059,843-319,163$82,353
AT PLUS T INC 2,552,476 -50,368 $80,046
     T2,552,476-50,368$80,046
UNITEDHEALTH GROUP INC 322,983 -2,747 $79,861
     UNH322,983-2,747$79,861
WALT DISNEY CO THE 705,893 +80,051 $78,375
     DIS705,893+80,051$78,375
BOEING CO THE 204,218 +31,232 $77,893
     BA204,218+31,232$77,893

See Full List: All Stocks Held By American International Group Inc.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By American International Group Inc.

Size ($ in 1000's)
At 03/31/2019: $26,295,018
At 12/31/2018: $24,315,838

Combined Holding Report Includes:
AMERICAN INTERNATIONAL GROUP INC
SUNAMERICA ASSET MANAGEMENT LLC
AIG Asset Management U.S. LLC

American International Group Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from American International Group Inc. 13F filings. Link to 13F filings: SEC filings

American International Group Inc. Top Holdings 13F Filings | www.HoldingsChannel.com

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