HoldingsChannel.com
Legal & General Group Plc Top Holdings
As of  03/31/2019

   EntityAmountChange
 12/31/2018 to 03/31/2019
Position Size
($ in 1000's)
APPLE INC 28,011,562 +5,561,738 $5,320,796
     AAPL28,011,562+5,561,738$5,320,796
MICROSOFT CORP 44,182,839 +8,572,206 $5,210,718
     MSFT44,182,839+8,572,206$5,210,718
AMAZON COM INC 2,281,715 +511,254 $4,063,162
     AMZN2,281,715+511,254$4,063,162
JOHNSON & JOHNSON 16,597,258 +3,062,720 $2,320,100
     JNJ16,597,258+3,062,720$2,320,100
FACEBOOK INC 13,749,334 +1,824,362 $2,291,859
     FB13,749,334+1,824,362$2,291,859
ALPHABET INC 1,799,279 +221,461 $2,111,112
     GOOG1,799,279+221,461$2,111,112
EXXON MOBIL CORP 25,588,981 +4,119,440 $2,067,565
     XOM25,588,981+4,119,440$2,067,565
ALPHABET INC 1,756,407 +230,310 $2,067,083
     GOOGL1,756,407+230,310$2,067,083
BERKSHIRE HATHAWAY INC DEL      $1,997,246
     BRK.B7,841,235+1,512,611$1,575,218
     BRK.A1,401-44$422,028
JPMORGAN CHASE & CO 19,481,440 +3,773,751 $1,972,099
     JPM19,481,440+3,773,751$1,972,099
ALIBABA GROUP HLDG LTD 9,474,548 +1,703,676 $1,728,632
     BABA9,474,548+1,703,676$1,728,632
VISA INC 10,361,730 +2,037,270 $1,618,371
     V10,361,730+2,037,270$1,618,371
PROCTER AND GAMBLE CO 15,402,892 +2,259,635 $1,602,621
     PG15,402,892+2,259,635$1,602,621
CISCO SYS INC 28,297,508 +4,376,243 $1,527,782
     CSCO28,297,508+4,376,243$1,527,782
INTEL CORP 27,991,223 +4,870,532 $1,503,123
     INTC27,991,223+4,870,532$1,503,123
VERIZON COMMUNICATIONS INC 25,344,621 +2,288,112 $1,498,617
     VZ25,344,621+2,288,112$1,498,617
PFIZER INC 34,775,233 +5,309,193 $1,476,872
     PFE34,775,233+5,309,193$1,476,872
BANK AMER CORP 53,301,210 +10,207,383 $1,470,547
     BAC53,301,210+10,207,383$1,470,547
CHEVRON CORP NEW 11,873,633 +2,188,443 $1,462,571
     CVX11,873,633+2,188,443$1,462,571
UNITEDHEALTH GROUP INC 5,876,374 +1,128,665 $1,452,959
     UNH5,876,374+1,128,665$1,452,959
AT&T INC 45,073,945 +3,946,708 $1,413,486
     T45,073,945+3,946,708$1,413,486
MERCK & CO INC 15,913,719 +2,482,234 $1,323,530
     MRK15,913,719+2,482,234$1,323,530
HOME DEPOT INC 6,726,310 +1,235,803 $1,290,673
     HD6,726,310+1,235,803$1,290,673
MASTERCARD INC 5,469,401 +1,014,347 $1,287,749
     MA5,469,401+1,014,347$1,287,749
WELLS FARGO CO NEW 25,085,881 +4,694,252 $1,212,148
     WFC25,085,881+4,694,252$1,212,148
DISNEY WALT CO 10,905,041 +2,775,768 $1,210,773
     DIS10,905,041+2,775,768$1,210,773
COCA COLA CO 23,521,433 +4,062,415 $1,102,188
     KO23,521,433+4,062,415$1,102,188
COMCAST CORP NEW 27,208,632 +2,851,586 $1,087,797
     CMCSA27,208,632+2,851,586$1,087,797
PEPSICO INC 8,594,767 +1,425,689 $1,053,251
     PEP8,594,767+1,425,689$1,053,251
BOEING CO 2,714,670 +605,349 $1,035,429
     BA2,714,670+605,349$1,035,429
CITIGROUP INC 14,471,896 +2,551,435 $900,441
     C14,471,896+2,551,435$900,441
MCDONALDS CORP 4,724,190 +717,885 $897,123
     MCD4,724,190+717,885$897,123
WALMART INC 9,006,948 +1,507,688 $878,423
     WMT9,006,948+1,507,688$878,423
UNION PACIFIC CORP 5,141,866 +846,949 $859,719
     UNP5,141,866+846,949$859,719
ABBOTT LABS 10,441,443 +2,098,441 $834,687
     ABT10,441,443+2,098,441$834,687
NETFLIX INC 2,336,626 +330,554 $833,147
     NFLX2,336,626+330,554$833,147
INTERNATIONAL BUSINESS MACHS 5,889,178 +913,906 $830,935
     IBM5,889,178+913,906$830,935
MEDTRONIC PLC 8,972,176 +1,605,788 $816,814
     MDT8,972,176+1,605,788$816,814
ORACLE CORP 15,089,098 +2,430,869 $810,435
     ORCL15,089,098+2,430,869$810,435
ADOBE INC 2,939,852 +574,832 $783,430
     ADBE2,939,852+574,832$783,430
AMGEN INC 3,962,389 +720,809 $752,775
     AMGN3,962,389+720,809$752,775
ACCENTURE PLC IRELAND 4,242,317 +740,266 $746,584
     ACN4,242,317+740,266$746,584
LILLY ELI & CO 5,619,980 +671,128 $729,240
     LLY5,619,980+671,128$729,240
3M CO 3,508,876 +655,322 $729,057
     MMM3,508,876+655,322$729,057
ABBVIE INC 8,973,334 +1,586,937 $723,161
     ABBV8,973,334+1,586,937$723,161
PHILIP MORRIS INTL INC 8,063,377 +1,530,418 $712,721
     PM8,063,377+1,530,418$712,721
DOWDUPONT INC 13,334,186 +2,719,926 $710,633
     DWDP13,334,186+2,719,926$710,633
BROADCOM INC 2,318,629 +445,127 $697,235
     AVGO2,318,629+445,127$697,235
HONEYWELL INTL INC 4,384,103 +797,913 $696,707
     HON4,384,103+797,913$696,707
COSTCO WHSL CORP NEW 2,837,926 +461,409 $687,144
     COST2,837,926+461,409$687,144

See Full List: All Stocks Held By Legal & General Group Plc
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Legal & General Group Plc

Size ($ in 1000's)
At 03/31/2019: $175,146,319
At 12/31/2018: $129,066,574

Combined Holding Report Includes:
Legal & General Group Plc
GO ETF SOLUTIONS LLP
Legal & General Investment Management ASIA Ltd
Legal & General Investment Management America Inc
Legal & General Investment Management Ltd

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

Legal & General Group Plc Top Holdings 13F Filings | www.HoldingsChannel.com

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