HoldingsChannel.com
KBC Group NV Top Holdings
As of  12/31/2019

   EntityAmountChange
 09/30/2019 to 12/31/2019
Position Size
($ in 1000's)
APPLE INC 2,049,081 +165,665 $601,713
     AAPL2,049,081+165,665$601,713
MICROSOFT CORP 3,569,936 +284,946 $562,980
     MSFT3,569,936+284,946$562,980
JPMORGAN CHASE & CO 1,973,752 +346,826 $275,141
     JPM1,973,752+346,826$275,141
VISA INC 1,266,678 +43,188 $238,010
     V1,266,678+43,188$238,010
MERCK & CO INC 2,363,274 +17,152 $214,939
     MRK2,363,274+17,152$214,939
ALIBABA GROUP HLDG LTD 984,621 +198,173 $208,838
     BABA984,621+198,173$208,838
AMAZON COM INC 112,730 -1,590 $208,307
     AMZN112,730-1,590$208,307
BANK AMER CORP 5,157,976 +1,439,664 $181,664
     BAC5,157,976+1,439,664$181,664
ALPHABET INC 123,055 +10,627 $164,527
     GOOG123,055+10,627$164,527
ADOBE INC 477,998 +163,084 $157,649
     ADBE477,998+163,084$157,649
ALPHABET INC 117,069 +11,129 $156,801
     GOOGL117,069+11,129$156,801
THERMO FISHER SCIENTIFIC INC 475,414 +105,000 $154,447
     TMO475,414+105,000$154,447
COMCAST CORP NEW 3,366,264 +257,931 $151,381
     CMCSA3,366,264+257,931$151,381
PEPSICO INC 1,080,793 +82,347 $147,711
     PEP1,080,793+82,347$147,711
FACEBOOK INC 687,527 -546 $141,115
     FB687,527-546$141,115
ORACLE CORP 2,522,645 -236,865 $133,650
     ORCL2,522,645-236,865$133,650
UNITEDHEALTH GROUP INC 454,047 -69,590 $133,481
     UNH454,047-69,590$133,481
DISNEY WALT CO 890,984 +113,226 $128,863
     DIS890,984+113,226$128,863
PROCTER & GAMBLE CO 1,026,406 -29,597 $128,198
     PG1,026,406-29,597$128,198
CITIGROUP INC 1,575,878 +131,688 $125,897
     C1,575,878+131,688$125,897
JOHNSON & JOHNSON 844,711 -142,698 $123,218
     JNJ844,711-142,698$123,218
INTEL CORP 2,007,893 +43,466 $120,172
     INTC2,007,893+43,466$120,172
MASTERCARD INC 383,773 +61,649 $114,591
     MA383,773+61,649$114,591
STARBUCKS CORP 1,264,170 +364,316 $111,146
     SBUX1,264,170+364,316$111,146
VERIZON COMMUNICATIONS INC 1,744,667 +93,791 $107,122
     VZ1,744,667+93,791$107,122
MEDTRONIC PLC 904,699 -87,612 $102,638
     MDT904,699-87,612$102,638
PFIZER INC 2,521,500 -1,438,535 $98,793
     PFE2,521,500-1,438,535$98,793
PAYPAL HLDGS INC 887,910 +43,976 $96,046
     PYPL887,910+43,976$96,046
EBAY INC 2,547,254 +947,878 $91,981
     EBAY2,547,254+947,878$91,981
SALESFORCE COM INC 562,905 +111,004 $91,551
     CRM562,905+111,004$91,551
AGILENT TECHNOLOGIES INC 1,063,732 +167,328 $90,747
     A1,063,732+167,328$90,747
MONDELEZ INTL INC 1,629,394 -237,993 $89,747
     MDLZ1,629,394-237,993$89,747
CISCO SYS INC 1,865,046 -1,568,131 $89,448
     CSCO1,865,046-1,568,131$89,448
EXXON MOBIL CORP 1,237,510 -172,600 $86,354
     XOM1,237,510-172,600$86,354
UNION PACIFIC CORP 471,013 +18,386 $85,155
     UNP471,013+18,386$85,155
NVIDIA CORP 361,632 -20,020 $85,092
     NVDA361,632-20,020$85,092
DANAHER CORPORATION 501,444 -28,741 $76,961
     DHR501,444-28,741$76,961
JOHNSON CTLS INTL PLC 1,839,462 +1,111,872 $74,884
     JCI1,839,462+1,111,872$74,884
BAXTER INTL INC 877,531 +292,580 $73,379
     BAX877,531+292,580$73,379
AT&T INC 1,857,874 +20,307 $72,605
     T1,857,874+20,307$72,605
BROADCOM INC 219,869 +57,338 $69,483
     AVGO219,869+57,338$69,483
CDW CORP 479,848 +187,214 $68,542
     CDW479,848+187,214$68,542
WALMART INC 572,763 -127,955 $68,067
     WMT572,763-127,955$68,067
BOOKING HLDGS INC 32,342 +4,922 $66,421
     BKNG32,342+4,922$66,421
HOME DEPOT INC 296,055 +32,039 $64,652
     HD296,055+32,039$64,652
COCA COLA CO 1,135,858 -179,638 $62,870
     KO1,135,858-179,638$62,870
CONOCOPHILLIPS 958,952 -25,743 $62,361
     COP958,952-25,743$62,361
APPLIED MATLS INC 1,016,239 +222,859 $62,031
     AMAT1,016,239+222,859$62,031
BERKSHIRE HATHAWAY INC DEL      $61,681
     BRK.B255,833+53,858$57,946
     BRK.A11-25$3,735
FISERV INC 528,680 +403,734 $61,131
     FISV528,680+403,734$61,131

See Full List: All Stocks Held By KBC Group NV
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By KBC Group NV

Size ($ in 1000's)
At 12/31/2019: $15,816,351
At 09/30/2019: $13,634,863

Combined Holding Report Includes:
KBC Group NV
KBC Bank NV
KBC Asset Management NV
KBC Fund Management Ltd.
CSOB Asset Management a.s.

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

KBC Group NV Top Holdings 13F Filings | www.HoldingsChannel.com

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