HoldingsChannel.com
Aviva PLC Top Holdings
As of  09/30/2019

   EntityAmountChange
 06/30/2019 to 09/30/2019
Position Size
($ in 1000's)
MICROSOFT CORP 4,455,603 +334,497 $619,463
     MSFT4,455,603+334,497$619,463
APPLE INC 2,286,907 +207,728 $512,198
     AAPL2,286,907+207,728$512,198
AMAZON COM INC 212,225 +14,885 $368,403
     AMZN212,225+14,885$368,403
ALPHABET INC 227,706 +29,473 $278,061
     GOOGL227,706+29,473$278,061
TECHNIPFMC PLC 11,549,517 -625,136 $277,498
     FTI11,549,517-625,136$277,498
BERKSHIRE HATHAWAY INC DEL      $270,658
     BRK.B789,942+76,208$164,323
     BRK.A341-8$106,335
JPMORGAN CHASE & CO 2,015,308 -41,383 $237,182
     JPM2,015,308-41,383$237,182
HOME DEPOT INC 1,002,651 +63,566 $232,635
     HD1,002,651+63,566$232,635
VISA INC 1,315,256 +117,695 $226,237
     V1,315,256+117,695$226,237
UNITEDHEALTH GROUP INC 985,838 +78,162 $214,243
     UNH985,838+78,162$214,243
FACEBOOK INC 1,135,978 +108,760 $202,295
     FB1,135,978+108,760$202,295
ALPHABET INC 164,693 +5,439 $200,761
     GOOG164,693+5,439$200,761
COMCAST CORP NEW 4,175,266 +1,703,075 $188,221
     CMCSA4,175,266+1,703,075$188,221
ALIBABA GROUP HLDG LTD 1,060,723 -175,885 $177,384
     BABA1,060,723-175,885$177,384
EXXON MOBIL CORP 2,324,224 +358,602 $164,113
     XOM2,324,224+358,602$164,113
BANK AMER CORP 4,834,329 -473,571 $141,017
     BAC4,834,329-473,571$141,017
CISCO SYS INC 2,840,099 +145,803 $140,329
     CSCO2,840,099+145,803$140,329
JOHNSON & JOHNSON 1,042,260 -102,645 $134,847
     JNJ1,042,260-102,645$134,847
MERCK & CO INC 1,548,837 +255,200 $130,381
     MRK1,548,837+255,200$130,381
VERIZON COMMUNICATIONS INC 2,098,498 +182,089 $126,665
     VZ2,098,498+182,089$126,665
AT&T INC 3,290,548 +144,627 $124,514
     T3,290,548+144,627$124,514
PROCTER & GAMBLE CO 994,928 +65,162 $123,749
     PG994,928+65,162$123,749
MASTERCARD INC 455,381 +9,947 $123,668
     MA455,381+9,947$123,668
BECTON DICKINSON & CO 481,316 -55,092 $121,754
     BDX481,316-55,092$121,754
NEXTERA ENERGY INC 520,126 +57,826 $121,184
     NEE520,126+57,826$121,184
HONEYWELL INTL INC 690,414 +92,706 $116,818
     HON690,414+92,706$116,818
MCDONALDS CORP 534,835 -6,953 $114,834
     MCD534,835-6,953$114,834
PEPSICO INC 816,382 +138,962 $111,926
     PEP816,382+138,962$111,926
MEDTRONIC PLC 1,013,020 +92,679 $110,034
     MDT1,013,020+92,679$110,034
THERMO FISHER SCIENTIFIC I 369,012 +48,483 $107,482
     TMO369,012+48,483$107,482
BROADCOM INC 369,912 -53,704 $102,122
     AVGO369,912-53,704$102,122
EQUIFAX INC 682,288 +3,106 $95,977
     EFX682,288+3,106$95,977
DISNEY WALT CO 718,311 +69,525 $93,610
     DIS718,311+69,525$93,610
SALESFORCE COM INC 622,584 +126,723 $92,417
     CRM622,584+126,723$92,417
ABBOTT LABS 1,096,455 -16,853 $91,740
     ABT1,096,455-16,853$91,740
UNITED TECHNOLOGIES CORP 670,715 +34,522 $91,567
     UTX670,715+34,522$91,567
PAYPAL HLDGS INC 850,783 +133,422 $88,132
     PYPL850,783+133,422$88,132
DANAHER CORPORATION 607,510 -9,966 $87,743
     DHR607,510-9,966$87,743
PHILIP MORRIS INTL INC 1,153,568 +16,529 $87,590
     PM1,153,568+16,529$87,590
INTEL CORP 1,691,990 +32,614 $87,188
     INTC1,691,990+32,614$87,188
CHEVRON CORP NEW 733,497 -69,149 $86,993
     CVX733,497-69,149$86,993
RAYTHEON CO 435,595 +23,816 $85,459
     RTN435,595+23,816$85,459
COCA COLA CO 1,484,530 +46,105 $80,818
     KO1,484,530+46,105$80,818
COSTCO WHSL CORP NEW 273,130 +42,549 $78,691
     COST273,130+42,549$78,691
EQUINIX INC 136,280 +24,929 $78,606
     EQIX136,280+24,929$78,606
TEXAS INSTRS INC 591,214 -22,542 $76,408
     TXN591,214-22,542$76,408
QIAGEN NV 2,325,429 +190,872 $76,257
     QGEN2,325,429+190,872$76,257
PFIZER INC 2,112,791 -1,214,996 $75,913
     PFE2,112,791-1,214,996$75,913
UNION PACIFIC CORP 453,469 -54,009 $73,453
     UNP453,469-54,009$73,453
NIKE INC 781,305 +213,980 $73,381
     NKE781,305+213,980$73,381

See Full List: All Stocks Held By Aviva PLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Aviva PLC

Size ($ in 1000's)
At 09/30/2019: $14,755,960
At 06/30/2019: $14,558,237

Combined Holding Report Includes:
AVIVA PLC
AVIVA INVESTORS GLOBAL SERVICES LTD
AVIVA INVESTORS FRANCE SA
Aviva Investors Asia PTE Ltd
Aviva Italia Holdings SpA

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

Aviva PLC Top Holdings 13F Filings | www.HoldingsChannel.com

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