HoldingsChannel.com
Legal & General Group Plc Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
MICROSOFT CORP 46,522,802 +1,251,930 $7,337,453
     MSFT46,522,802+1,251,930$7,337,453
APPLE INC 26,970,969 -654,474 $6,863,591
     AAPL26,970,969-654,474$6,863,591
AMAZON COM INC 2,448,498 +74,944 $4,773,017
     AMZN2,448,498+74,944$4,773,017
ALIBABA GROUP HLDG LTD 12,733,457 +675,426 $2,476,453
     BABA12,733,457+675,426$2,476,453
FACEBOOK INC 14,628,410 +402,358 $2,442,824
     FB14,628,410+402,358$2,442,824
JOHNSON & JOHNSON 17,671,764 +308,234 $2,317,329
     JNJ17,671,764+308,234$2,317,329
ALPHABET INC 1,879,075 +31,756 $2,186,779
     GOOG1,879,075+31,756$2,186,779
ALPHABET INC 1,879,043 +49,539 $2,184,948
     GOOGL1,879,043+49,539$2,184,948
BERKSHIRE HATHAWAY INC DEL      $1,921,720
     BRK.B8,556,093+428,979$1,565,956
     BRK.A1,307-37$355,764
VISA INC 10,927,768 +320,352 $1,762,092
     V10,927,768+320,352$1,762,092
PROCTER & GAMBLE CO 15,966,899 +373,486 $1,757,282
     PG15,966,899+373,486$1,757,282
JPMORGAN CHASE & CO 19,233,532 +409,477 $1,735,777
     JPM19,233,532+409,477$1,735,777
INTEL CORP 28,789,978 +365,005 $1,558,832
     INTC28,789,978+365,005$1,558,832
UNITEDHEALTH GROUP INC 6,218,799 +97,768 $1,551,937
     UNH6,218,799+97,768$1,551,937
VERIZON COMMUNICATIONS INC 26,777,937 +640,654 $1,439,500
     VZ26,777,937+640,654$1,439,500
AT&T INC 47,477,604 +1,345,096 $1,385,953
     T47,477,604+1,345,096$1,385,953
MASTERCARD INC 5,686,401 +158,919 $1,375,225
     MA5,686,401+158,919$1,375,225
MERCK & CO. INC 16,930,462 +504,582 $1,303,546
     MRK16,930,462+504,582$1,303,546
HOME DEPOT INC 6,911,435 +77,886 $1,291,562
     HD6,911,435+77,886$1,291,562
PFIZER INC 36,701,767 +882,155 $1,198,844
     PFE36,701,767+882,155$1,198,844
CISCO SYS INC 29,675,408 +782,430 $1,174,122
     CSCO29,675,408+782,430$1,174,122
PEPSICO INC 9,541,191 +125,621 $1,146,641
     PEP9,541,191+125,621$1,146,641
COCA COLA CO 25,777,852 +1,071,814 $1,141,899
     KO25,777,852+1,071,814$1,141,899
BK OF AMERICA CORP 50,923,268 +414,622 $1,084,417
     BAC50,923,268+414,622$1,084,417
DISNEY WALT CO 11,104,111 +221,849 $1,075,326
     DIS11,104,111+221,849$1,075,326
WALMART INC 9,337,751 +193,770 $1,061,123
     WMT9,337,751+193,770$1,061,123
COMCAST CORP NEW 28,471,755 +840,034 $980,171
     CMCSA28,471,755+840,034$980,171
ADOBE INC 3,079,311 +79,008 $980,129
     ADBE3,079,311+79,008$980,129
EXXON MOBIL CORP 25,667,782 +239,471 $975,483
     XOM25,667,782+239,471$975,483
NVIDIA CORP 3,680,268 +79,569 $968,492
     NVDA3,680,268+79,569$968,492
NEXTERA ENERGY INC 4,013,188 +96,864 $965,718
     NEE4,013,188+96,864$965,718
NETFLIX INC 2,494,201 +63,688 $935,950
     NFLX2,494,201+63,688$935,950
CHEVRON CORP NEW 12,108,208 +175,942 $877,964
     CVX12,108,208+175,942$877,964
ABBOTT LABS 11,097,987 +384,420 $876,082
     ABT11,097,987+384,420$876,082
BRISTOL MYERS SQUIBB CO 15,448,871 +234,035 $861,533
     BMY15,448,871+234,035$861,533
MEDTRONIC PLC 9,371,394 +305,954 $846,217
     MDT9,371,394+305,954$846,217
COSTCO WHSL CORP NEW 2,942,479 +82,346 $839,131
     COST2,942,479+82,346$839,131
MCDONALDS CORP 5,012,793 +116,780 $829,608
     MCD5,012,793+116,780$829,608
AMERICAN TOWER CORP NEW 3,787,539 +61,568 $824,929
     AMT3,787,539+61,568$824,929
LILLY ELI & CO 5,835,245 +180,486 $809,195
     LLY5,835,245+180,486$809,195
AMGEN INC 3,868,968 +41,227 $784,910
     AMGN3,868,968+41,227$784,910
UNION PAC CORP 5,395,825 +86,865 $761,784
     UNP5,395,825+86,865$761,784
SALESFORCE COM INC 5,097,464 +162,101 $734,500
     CRM5,097,464+162,101$734,500
ACCENTURE PLC IRELAND 4,488,993 +90,186 $734,350
     ACN4,488,993+90,186$734,350
THERMO FISHER SCIENTIFIC INC 2,577,074 +81,301 $731,316
     TMO2,577,074+81,301$731,316
ABBVIE INC 9,393,168 +247,883 $716,169
     ABBV9,393,168+247,883$716,169
WELLS FARGO CO NEW 24,121,463 -120,087 $692,332
     WFC24,121,463-120,087$692,332
NIKE INC 8,251,447 +208,678 $683,424
     NKE8,251,447+208,678$683,424
INTERNATIONAL BUSINESS MACHS 6,082,431 +6,529 $675,340
     IBM6,082,431+6,529$675,340
ORACLE CORP 13,940,095 +7,735 $674,050
     ORCL13,940,095+7,735$674,050

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 03/31/2020: $171,004,277
At 12/31/2019: $209,901,452

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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