HoldingsChannel.com
Gateway Investment Advisers LLC Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
MICROSOFT CORP 3,541,998 -183,266 $474,486
     MSFT3,541,998-183,266$474,486
APPLE INC 1,994,226 -136,818 $394,697
     AAPL1,994,226-136,818$394,697
AMAZON COM INC 190,979 -10,506 $361,644
     AMZN190,979-10,506$361,644
ISHARES TR (IVV) 1,153,105 +90,165 $339,878
     IVV1,153,105+90,165$339,878
FACEBOOK INC 1,114,455 -93,962 $215,090
     FB1,114,455-93,962$215,090
BERKSHIRE HATHAWAY INC DEL      $207,359
     BRK.B972,741-44,349$207,359
ALPHABET INC 176,546 -17,588 $190,830
     GOOG176,546-17,588$190,830
JPMORGAN CHASE & CO 1,693,494 -113,812 $189,333
     JPM1,693,494-113,812$189,333
VISA INC 1,020,071 -32,980 $177,033
     V1,020,071-32,980$177,033
JOHNSON & JOHNSON 1,245,158 -94,614 $173,426
     JNJ1,245,158-94,614$173,426
EXXON MOBIL CORP 2,212,369 +49,091 $169,534
     XOM2,212,369+49,091$169,534
PROCTER AND GAMBLE CO 1,285,979 -24,727 $141,008
     PG1,285,979-24,727$141,008
BANK AMER CORP 4,673,545 -390,671 $135,533
     BAC4,673,545-390,671$135,533
HOME DEPOT INC 619,410 -37,196 $128,819
     HD619,410-37,196$128,819
CHEVRON CORP NEW 1,026,536 +8,116 $127,742
     CVX1,026,536+8,116$127,742
DISNEY WALT CO 884,868 -17,848 $123,563
     DIS884,868-17,848$123,563
UNITEDHEALTH GROUP INC 504,101 -45,248 $123,006
     UNH504,101-45,248$123,006
PFIZER INC 2,793,036 -127,487 $120,994
     PFE2,793,036-127,487$120,994
CISCO SYS INC 2,168,679 -152,783 $118,692
     CSCO2,168,679-152,783$118,692
ALPHABET INC 104,344 -770 $112,984
     GOOGL104,344-770$112,984
AT&T INC 3,307,548 -251,925 $110,836
     T3,307,548-251,925$110,836
MERCK & CO INC 1,310,479 -60,236 $109,884
     MRK1,310,479-60,236$109,884
VERIZON COMMUNICATIONS INC 1,840,966 -103,183 $105,174
     VZ1,840,966-103,183$105,174
PEPSICO INC 784,667 -94,560 $102,893
     PEP784,667-94,560$102,893
INTEL CORP 2,105,981 -209,724 $100,813
     INTC2,105,981-209,724$100,813
COCA COLA CO 1,965,673 -174,370 $100,092
     KO1,965,673-174,370$100,092
MCDONALDS CORP 475,092 -25,234 $98,658
     MCD475,092-25,234$98,658
WALMART INC 864,944 -2,858 $95,568
     WMT864,944-2,858$95,568
COMCAST CORP NEW 2,256,904 -223,200 $95,422
     CMCSA2,256,904-223,200$95,422
BOEING CO 259,125 -12,273 $94,324
     BA259,125-12,273$94,324
WELLS FARGO CO NEW 1,932,149 -252,087 $91,429
     WFC1,932,149-252,087$91,429
CITIGROUP INC 1,253,951 -213,151 $87,814
     C1,253,951-213,151$87,814
ABBOTT LABS 1,012,411 -1,348 $85,144
     ABT1,012,411-1,348$85,144
ADOBE INC 286,486 -23,539 $84,413
     ADBE286,486-23,539$84,413
NETFLIX INC 215,166 -14,062 $79,035
     NFLX215,166-14,062$79,035
MEDTRONIC PLC 794,479 -51,370 $77,374
     MDT794,479-51,370$77,374
HONEYWELL INTL INC 435,632 -47,487 $76,057
     HON435,632-47,487$76,057
ORACLE CORP 1,286,728 -154,935 $73,305
     ORCL1,286,728-154,935$73,305
PAYPAL HLDGS INC 633,095 -2,388 $72,464
     PYPL633,095-2,388$72,464
AMGEN INC 376,953 -19,325 $69,465
     AMGN376,953-19,325$69,465
CONOCOPHILLIPS 1,096,764 +175,460 $66,903
     COP1,096,764+175,460$66,903
UNITED TECHNOLOGIES CORP 502,597 -3,682 $65,438
     UTX502,597-3,682$65,438
MONDELEZ INTL INC 1,165,932 +94,925 $62,844
     MDLZ1,165,932+94,925$62,844
INTERNATIONAL BUSINESS MACHS 444,097 -50,954 $61,241
     IBM444,097-50,954$61,241
PHILIP MORRIS INTL INC 717,333 -42,827 $56,332
     PM717,333-42,827$56,332
BROADCOM INC 188,730 +52,132 $54,328
     AVGO188,730+52,132$54,328
LILLY ELI & CO 490,337 -22,724 $54,324
     LLY490,337-22,724$54,324
UNION PACIFIC CORP 319,620 +154,970 $54,051
     UNP319,620+154,970$54,051
TEXAS INSTRS INC 466,193 -90,186 $53,500
     TXN466,193-90,186$53,500
WEC ENERGY GROUP INC 613,483 -23,407 $51,146
     WEC613,483-23,407$51,146

See Full List: All Stocks Held By Gateway Investment Advisers LLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Gateway Investment Advisers LLC

Size ($ in 1000's)
At 06/30/2019: $11,058,058
At 03/31/2019: $11,265,586

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

Gateway Investment Advisers LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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