HoldingsChannel.com
Mitsubishi UFJ Trust & Banking Corp Top Holdings
As of  09/30/2019

   EntityAmountChange
 06/30/2019 to 09/30/2019
Position Size
($ in 1000's)
APPLE INC 4,650,881 +232,052 $1,020,179
     AAPL4,650,881+232,052$1,020,179
MICROSOFT CORP 7,367,600 +186,167 $1,015,311
     MSFT7,367,600+186,167$1,015,311
AMAZON.COM INC. 510,251 -9,396 $880,486
     AMZN510,251-9,396$880,486
NEXTERA ENERGY INC. 2,530,499 +2,030,642 $588,729
     NEE2,530,499+2,030,642$588,729
FACEBOOK INC A 2,956,139 -16,127 $523,608
     FB2,956,139-16,127$523,608
DOMINION ENERGY INC 6,387,548 +5,486,351 $517,600
     D6,387,548+5,486,351$517,600
ISHARES IBOXX INV (LQD) 4,039,235 +200,000 $514,922
     LQD4,039,235+200,000$514,922
ALPHABET INC CA CL C 395,345 -693 $484,265
     GOOG395,345-693$484,265
WILLIAMS COMPANIES 16,032,206 +14,892,421 $385,900
     WMB16,032,206+14,892,421$385,900
MASTERCARD INC A 1,392,935 +7,081 $374,965
     MA1,392,935+7,081$374,965
UNION PACIFIC 2,303,450 +1,665,005 $373,534
     UNP2,303,450+1,665,005$373,534
VISA INC CL A SHARES (V) 2,112,763 +32,981 $367,458
     V2,112,763+32,981$367,458
JPMORGAN CHASE & CO 3,080,799 +289,887 $362,659
     JPM3,080,799+289,887$362,659
PROCTER & GAMBLE 2,907,525 +239,918 $362,130
     PG2,907,525+239,918$362,130
CROWN CASTLE INTL CO 2,502,118 +1,991,871 $347,198
     CCI2,502,118+1,991,871$347,198
JOHNSON & JOHNSON 2,662,221 +106,585 $342,541
     JNJ2,662,221+106,585$342,541
AMERICAN ELECTRIC PO 3,644,261 +3,062,460 $341,716
     AEP3,644,261+3,062,460$341,716
ALPHABET INC CA CL A 275,291 -714 $337,440
     GOOGL275,291-714$337,440
AT & T INC. 8,357,089 +1,236,946 $313,429
     T8,357,089+1,236,946$313,429
EXXON MOBIL CORP. 4,323,297 +642,366 $308,356
     XOM4,323,297+642,366$308,356
BERKSHIRE HATHAWAY&apos B      $306,909
     BRK.B1,391,612+185,363$288,823
     BRK.A58+54$18,086
CENTERPOINT ENERGY 9,631,972 +8,803,588 $290,541
     CNP9,631,972+8,803,588$290,541
AMERICAN TOWER CORP 1,263,717 +840,148 $278,470
     AMT1,263,717+840,148$278,470
VERIZON COMMUNICAT. 4,457,091 +504,763 $268,800
     VZ4,457,091+504,763$268,800
ALIBABA GROUP HO ADR 1,595,053 -50,116 $264,771
     BABA1,595,053-50,116$264,771
EVERGY INC 3,842,994 +3,377,871 $255,790
     EVRG3,842,994+3,377,871$255,790
TC Energy Corp 4,913,803 +4,913,803 $254,521
     TRP4,913,803+4,913,803$254,521
BANK OF AMERICA CORP 8,604,761 +955,008 $252,300
     BAC8,604,761+955,008$252,300
SBA COMMUNICATIONS C 1,009,110 +907,171 $242,876
     SBAC1,009,110+907,171$242,876
EVERSOURCE ENERGY 2,777,459 +2,433,873 $237,339
     ES2,777,459+2,433,873$237,339
HOME DEPOT 1,023,835 +68,274 $235,595
     HD1,023,835+68,274$235,595
WALT DISNEY CO 1,804,845 +169,559 $234,634
     DIS1,804,845+169,559$234,634
INTEL CORPORATION 4,523,545 +349,678 $230,084
     INTC4,523,545+349,678$230,084
WELLS FARGO COMPANY 4,536,877 +654,582 $229,829
     WFC4,536,877+654,582$229,829
CHEVRON CORP 1,925,713 +264,976 $228,390
     CVX1,925,713+264,976$228,390
NORFOLK SOUTHERN 1,263,557 +1,048,740 $227,257
     NSC1,263,557+1,048,740$227,257
WALMART INC 1,887,911 +511,961 $223,753
     WMT1,887,911+511,961$223,753
COCA COLA COMPANY 4,094,758 +181,124 $222,427
     KO4,094,758+181,124$222,427
UGI CORPORATION 4,405,054 +4,248,671 $221,475
     UGI4,405,054+4,248,671$221,475
ILLUMINA INC. 725,521 +2,383 $218,585
     ILMN725,521+2,383$218,585
MERCK & CO. INC 2,595,583 +194,614 $215,585
     MRK2,595,583+194,614$215,585
UNITEDHEALTH GROUP 997,576 +42,212 $214,907
     UNH997,576+42,212$214,907
PFIZER INC. 5,892,312 +516,560 $213,190
     PFE5,892,312+516,560$213,190
CTRIP.COM INTL ADR 7,227,279 +5,881,607 $211,333
     CTRP7,227,279+5,881,607$211,333
CISCO SYSTEMS INC 4,315,955 +190,410 $211,024
     CSCO4,315,955+190,410$211,024
PEPSICO INC. 1,538,374 +101,372 $208,853
     PEP1,538,374+101,372$208,853
COGNIZANT TECH CL A 3,414,450 +2,892,345 $204,980
     CTSH3,414,450+2,892,345$204,980
ALLIANT ENERGY CORP 3,736,051 +3,516,555 $201,507
     LNT3,736,051+3,516,555$201,507
COMCAST CORP CL A 4,409,344 +517,968 $197,743
     CMCSA4,409,344+517,968$197,743
NETFLIX.COM INC. 732,989 -25,874 $192,838
     NFLX732,989-25,874$192,838

See Full List: All Stocks Held By Mitsubishi UFJ Trust & Banking Corp
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Mitsubishi UFJ Trust & Banking Corp

Size ($ in 1000's)
At 09/30/2019: $39,068,716
At 06/30/2019: $29,355,266

Combined Holding Report Includes:
Mitsubishi UFJ Trust & Banking Corp
MU Investments Co. Ltd.
BAILLIE GIFFORD OVERSEAS LTD
BROWN ADVISORY INC
SOUND SHORE MANAGEMENT INC
ABERDEEN ASSET MANAGEMENT PLC UK
Levin Easterly Partners LLC
COHEN & STEERS CAPITAL MANAGEMENT INC
Sanders Capital LLC
JENNISON ASSOCIATES LLC
AMP Capital Investors Ltd
Jackson Square Partners LLC
Aberdeen Asset Management Asia Limited
Marathon Asset Management
Sands Capital Management LLC
Coronation Investment Management
Mitsubishi UFJ Kokusai Asset Management Co. Ltd.
Mitsubishi UFJ Asset Management UK Ltd.
NORTHERN TRUST CORP
RUSSELL INVESTMENT GROUP LTD
WESTPAC BANKING CORP
Realindex Investment Pty Limited
Colonial First State Asset Management Australia Limited
First State Investment Management UK Limited
First State Investments Hong Kong Limited
First State Investments International Limited
First State Investments Singapore
Colonial First State Managed Infrastructure Limited
MITSUBISHI UFJ FINANCIAL GROUP INC

Mitsubishi UFJ Trust & Banking Corp holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Mitsubishi UFJ Trust & Banking Corp 13F filings. Link to 13F filings: SEC filings

Mitsubishi UFJ Trust & Banking Corp Top Holdings 13F Filings | www.HoldingsChannel.com

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