HoldingsChannel.com
Hsbc Holdings PLC Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
ALIBABA GROUP HLDG LTD      $4,410,316
     BABA25,821,633-346,577$4,375,477
     Call205,600+54,400$34,839
MICROSOFT CORP      $1,284,633
     MSFT9,664,579-221,731$1,294,666
     Put1,377,900-677,800$184,583
     Call1,303,000+452,100$174,550
APPLE INC      $640,849
     AAPL3,970,320-581,644$785,806
     Put1,241,300-1,019,500$245,678
     Call508,900-189,100$100,721
AMAZON COM INC      $509,748
     AMZN392,791-51,755$743,800
     Put193,500-82,700$366,417
     Call69,900-2,300$132,365
JPMORGAN CHASE & CO      $477,727
     JPM4,054,664-103,674$453,310
     Call513,800-54,900$57,443
     Put295,400-69,900$33,026
JOHNSON & JOHNSON      $429,097
     JNJ3,085,922-39,014$429,808
     Put293,300-83,700$40,851
     Call288,200+92,900$40,140
ISHARES TR (IWB) 2,475,989 +1,192,011 $403,066
     IWB2,475,989+1,192,011$403,066
UNITEDHEALTH GROUP INC      $388,843
     UNH857,356-154,233$209,203
     Call760,300-29,400$185,521
     Put24,100-77,600$5,881
ALTABA INC      $384,614
     AABA5,538,980+3,052,209$384,239
     Call6,300UNCH$437
     Put900UNCH$62
FACEBOOK INC      $346,171
     FB2,293,530-1,370,695$442,652
     Put1,140,200-753,100$220,059
     Call640,300-161,200$123,578
BERKSHIRE HATHAWAY INC DEL      $329,361
     BRK.B1,159,810+113,671$247,235
     BRK.A309-1$98,370
     Put174,100-14,100$37,113
     Call97,900-18,600$20,869
SPDR S&P 500 ETF TR (SPY)      $328,228
     Put1,376,900-135,900$403,432
     SPY1,330,130+462,855$389,729
     Call1,167,000-243,100$341,931
EXXON MOBIL CORP      $315,016
     XOM4,116,876-562,776$315,476
     Put202,300-194,100$15,502
     Call196,300-15,900$15,042
PROCTER AND GAMBLE CO      $305,447
     PG2,952,843-157,364$323,780
     Put347,600-126,500$38,114
     Call180,400-56,400$19,781
PFIZER INC      $305,251
     PFE6,937,424+735,011$300,529
     Call526,500+337,300$22,808
     Put417,500-60,400$18,086
ISHARES TR (IEFA) 4,859,316 +2,249,984 $298,362
     IEFA4,859,316+2,249,984$298,362
AT&T INC      $292,205
     T8,697,431-245,915$291,451
     Call270,800-355,400$9,075
     Put248,300-757,400$8,321
ALPHABET INC      $291,419
     GOOG299,206+19,665$323,414
     Put58,100-40,600$62,801
     Call28,500-47,500$30,806
VISA INC      $285,779
     V1,575,468+54,362$273,422
     Call71,200-14,100$12,357
VERIZON COMMUNICATIONS INC      $283,835
     VZ5,075,524-656,526$289,965
     Put150,200-142,300$8,581
     Call42,900-90,500$2,451
NIKE INC      $283,388
     Call2,076,300-191,300$174,305
     NKE1,549,387+55,237$130,070
     Put250,000-23,600$20,987
DISNEY WALT CO      $282,134
     DIS2,149,529+454,871$300,161
     Put279,800-84,000$39,071
     Call150,700-86,800$21,044
ALPHABET INC      $279,852
     GOOGL289,352-87,705$313,311
     Put78,200-77,000$84,675
     Call47,300-13,400$51,216
HOME DEPOT INC      $265,119
     HD1,229,397-3,695$255,677
     Call111,000-14,900$23,085
     Put65,600-13,900$13,643
VANECK VECTORS ETF TR (EMLC) 7,534,371 +3,775,204 $261,443
     EMLC7,534,371+3,775,204$261,443
CHEVRON CORP NEW      $256,402
     CVX2,175,260-451,288$270,688
     Put254,200-65,000$31,633
     Call139,400+10,500$17,347
INTEL CORP      $247,990
     INTC5,295,178+377,630$253,481
     Put1,569,800-537,700$75,147
     Call1,455,100+92,700$69,656
PEPSICO INC      $247,603
     PEP1,963,720-55,641$257,504
     Put336,900+20,500$44,178
     Call261,400+36,200$34,277
FIRST DATA CORP NEW 8,740,025 -387,789 $236,593
     FDC8,740,025-387,789$236,593
PINDUODUO INC 11,349,712 +9,610,558 $234,145
     PDD11,349,712+9,610,558$234,145
MASTERCARD INC      $232,532
     MA709,737+30,359$187,747
     Call169,300-182,800$44,785
CISCO SYS INC      $220,108
     CSCO4,986,178-397,385$272,894
     Put1,661,200-439,800$90,917
     Call696,700-36,900$38,131
ISHARES TR (SHY) 2,553,328 +1,174,661 $216,471
     SHY2,553,328+1,174,661$216,471
BANK AMER CORP      $216,231
     BAC8,003,826-1,642,640$232,111
     Put2,241,700-429,800$65,009
     Call1,694,100-108,200$49,129
ISHARES TR (AGG) 1,931,903 -212,866 $215,117
     AGG1,931,903-212,866$215,117
MERCK & CO INC      $214,050
     MRK2,677,074+9,845$224,473
     Put353,300-511,800$29,624
     Call229,000-139,300$19,201
WALMART INC      $209,478
     WMT1,929,993-277,531$213,246
     Put219,700-11,800$24,275
     Call185,600+3,200$20,507
SPDR SERIES TRUST (JNK) 1,861,018 -1,069,875 $202,739
     JNK1,861,018-1,069,875$202,739
GENERAL ELECTRIC CO      $201,224
     GE18,550,792-2,516,475$194,782
     Call775,800-6,100$8,146
     Put162,300+136,800$1,704
BOEING CO      $194,816
     BA547,494-19,300$199,293
     Put44,700-9,100$16,271
     Call32,400-72,400$11,794
ENERGY TRANSFER LP 13,754,315 +8,453,216 $193,661
     ET13,754,315+8,453,216$193,661
NEW ORIENTAL ED & TECH GRP I 1,965,903 +518,617 $189,868
     EDU1,965,903+483,617$189,868
NEXTERA ENERGY INC      $187,249
     NEE819,629+239,818$167,910
     Call122,600+121,500$25,116
     Put28,200+24,500$5,777
ISHARES TR (IWM)      $186,542
     IWM1,049,619+361,271$163,217
     Call150,000+150,000$23,325
CITIGROUP INC      $185,448
     C2,593,513-328,694$181,624
     Call331,700+101,200$23,229
     Put277,100-211,700$19,405
ISHARES TR (IWF) 1,168,414 +400,349 $183,838
     IWF1,168,414+400,349$183,838
MCDONALDS CORP      $183,022
     MCD900,052-135,247$186,905
     Put97,500-62,500$20,247
     Call78,800+35,700$16,364
COCA COLA CO      $182,758
     KO3,768,236-271,590$191,878
     Put574,500+92,700$29,254
     Call395,400+149,200$20,134
LINDE PLC 891,951 -1,220,867 $179,103
     LIN891,951-1,221,021$179,103
WELLS FARGO CO NEW      $177,468
     WFC3,890,763+232,220$184,111
     Put192,400+35,000$9,104
     Call52,000-126,400$2,461

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

See Details: Top 10 Stocks Held By Hsbc Holdings PLC

Size ($ in 1000's)
At 06/30/2019: $52,665,816
At 03/31/2019: $54,799,168

Combined Holding Report Includes:
HSBC HOLDINGS PLC
HSBC Bank USA N.A.
HSBC Global Asset Management Hong Kong Ltd
HSBC International Trustee Ltd
HSBC Global Asset Management UK Ltd
HSBC GLOBAL ASSET MANAGEMENT FRANCE
HSBC Global Asset Management Canada LTD
HSBC Trinkaus & Burkhardt AG Germany
HSBC PRIVATE BANK SUISSE LTD
Hongkong & Shanghai Banking Corp Ltd ASP
HSBC BANK PLC
HSBC GLOBAL ASSET MANAGEMENT MEXICO SA DE CV SOCIEDAD OPERADORA DE FONDOS DE INVERSION GRUPO FINANCIERO HSBC
HSBC GLOBAL ASSET MANAGEMENT DEUTSCHLAND GMBH
HSBC Bank Bermuda Ltd
HSBC SECURITIES USA INC

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

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

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