HoldingsChannel.com
Israel Discount Bank of New York Top Holdings
As of  09/30/2019

   EntityAmountChange
 06/30/2019 to 09/30/2019
Position Size
($ in 1000's)
BlackRock Fund Advisors (IEUR) 314,843 -18,493 $14,401
     IEUR314,843-18,493$14,401
BlackRock Fund Advisors (IGSB) 229,134 -46,319 $12,298
     IGSB229,134-46,319$12,298
ISHARES (IVV) 36,222 +4,556 $10,813
     IVV36,222+4,556$10,813
BlackRock Fund Advisors (EEM) 161,951 -25,977 $6,619
     EEM161,951-25,977$6,619
BlackRock Fund Advisors (IGIB) 104,388 -18,904 $6,046
     IGIB104,388-18,904$6,046
BlackRock Fund Advisors (EWJ) 105,969 -6,842 $6,012
     EWJ105,969-6,842$6,012
iShares ETFs USA (IWR) 87,460 +6,161 $4,894
     IWR87,460+6,161$4,894
ISHARES (IWM) 20,754 +2,078 $3,140
     IWM20,754+2,078$3,140
BlackRock Fund Advisors (EPP) 62,994 -5,559 $2,818
     EPP62,994-5,559$2,818
MICROSOFT CORP 19,886 +1,650 $2,765
     MSFT19,886+1,650$2,765
ISHARES S&P GSCI (GSG) 164,247 +34,025 $2,472
     GSG164,247+34,025$2,472
JPMorgan Chase & Co 20,029 +1,469 $2,357
     JPM20,029+1,469$2,357
ALPHABET INC 1,913 -181 $2,336
     GOOGL1,913-181$2,336
Amazon.com Inc 1,237 +193 $2,147
     AMZN1,237+193$2,147
Apple Inc 9,240 +305 $2,069
     AAPL9,240+305$2,069
ISHARES TRUST (TIP) 17,226 +989 $2,004
     TIP17,226+989$2,004
MCDONALD&apos S CORP 8,992 +120 $1,931
     MCD8,992+120$1,931
SPDR GOLD TRUST (GLD) 12,664 +3,876 $1,759
     GLD12,664+3,876$1,759
WALT DISNEY CO. 12,196 +920 $1,590
     DIS12,196+920$1,590
Abbott Laboratories 17,705 +1,545 $1,481
     ABT17,705+1,545$1,481
PASL Holding LLC 35,365 +35,365 $1,391
     MCB35,365+35,365$1,391
Estee Lauder Cos Inc The 6,750 +27 $1,343
     EL6,750+27$1,343
NIKE INC 13,879 +869 $1,304
     NKE13,879+869$1,304
Unilever NV 21,693 -3,525 $1,302
     UN21,693-3,525$1,302
SSGA Funds Management (RWO) 24,134 +6,008 $1,252
     RWO24,134+6,008$1,252
INTERCONTINENTAL EXCHANGE (ICE) 13,514 +1,049 $1,247
     ICE13,514+1,049$1,247
American Tower Corp 5,609 +554 $1,240
     AMT5,609+554$1,240
ROYAL DUTCH SHELL      $1,213
     RDS.A20,609+130$1,213
Procter & Gamble Co The 9,625 -3,030 $1,197
     PG9,625-3,030$1,197
Kraft Foods Inc 20,062 +2,267 $1,110
     MDLZ20,062+2,267$1,110
BOEING CO 2,860 +899 $1,089
     BA2,860+899$1,089
CVS Health Corp 16,964 +253 $1,070
     CVS16,964+253$1,070
Intel Corp 20,555 +6,935 $1,060
     INTC20,555+6,935$1,060
Allstate Corp The 9,709 +895 $1,055
     ALL9,709+895$1,055
Facebook Inc 5,892 +917 $1,049
     FB5,892+917$1,049
Zimmer Biomet Holdings Inc 7,476 +240 $1,026
     ZBH7,476+240$1,026
SALESFORCE.COM INC 6,872 +2,397 $1,020
     CRM6,872+2,397$1,020
STARBUCKS CORP 11,421 +334 $1,010
     SBUX11,421+334$1,010
COLGATE PALMOLIVE 13,434 UNCH $988
     CL13,434UNCH$988
Chevron Corp 8,139 +2,486 $965
     CVX8,139+2,486$965
Coca Cola Co The 17,614 +2,052 $959
     KO17,614+2,052$959
Exxon Mobil Corp 13,140 +648 $928
     XOM13,140+648$928
Comcast Corp 20,135 +8,715 $908
     CMCSA20,135+8,715$908
ORACLE CORP 15,624 +1,544 $860
     ORCL15,624+1,544$860
Pfizer Inc 23,693 +2,623 $852
     PFE23,693+2,623$852
Honeywell International Inc 4,962 +278 $840
     HON4,962+278$840
Johnson & Johnson 6,480 +552 $838
     JNJ6,480+552$838
Citigroup Inc 11,830 -630 $817
     C11,830-630$817
Celgene Corp 7,846 +986 $779
     CELG7,846+986$779
Norfolk Southern Corp 4,333 +575 $778
     NSC4,333+575$778

See Full List: All Stocks Held By Israel Discount Bank of New York
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Israel Discount Bank of New York

Size ($ in 1000's)
At 09/30/2019: $136,273
At 06/30/2019: $131,883

Israel Discount Bank of New York holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Israel Discount Bank of New York 13F filings. Link to 13F filings: SEC filings

Israel Discount Bank of New York Top Holdings 13F Filings | www.HoldingsChannel.com

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