HoldingsChannel.com
PNC Financial Services Group Inc. Top Holdings
As of  06/30/2020

   EntityAmountChange
 03/31/2020 to 06/30/2020
Position Size
($ in 1000's)
V F CORP 79,436,314 +7,560 $4,840,850
     VFC79,436,314+7,560$4,840,850
ISHARES TR (IVV) 8,253,333 +405,545 $2,555,975
     IVV8,253,333+405,545$2,555,975
APPLE INC 6,914,929 +91,750 $2,522,568
     AAPL6,914,929+91,750$2,522,568
MICROSOFT CORP 12,330,804 -110,882 $2,509,442
     MSFT12,330,804-110,882$2,509,442
SPDR S&P 500 ETF TR (SPY) 5,573,973 -46,659 $1,718,789
     SPY5,573,973-46,659$1,718,789
PROCTER AND GAMBLE CO 10,499,187 -89,612 $1,255,388
     PG10,499,187-89,612$1,255,388
JOHNSON & JOHNSON 7,932,799 +317,313 $1,115,590
     JNJ7,932,799+317,313$1,115,590
HOME DEPOT INC 4,061,025 -20,727 $1,017,328
     HD4,061,025-20,727$1,017,328
ISHARES TR (IWR) 17,675,660 -618,260 $947,414
     IWR17,675,660-618,260$947,414
ISHARES TR (IEFA) 16,262,319 +1,480,068 $929,554
     IEFA16,262,319+1,480,068$929,554
ERIE INDTY CO 4,802,199 -7 $921,542
     ERIE4,802,199-7$921,542
AMAZON COM INC 305,687 -1,114 $843,334
     AMZN305,687-1,114$843,334
JPMORGAN CHASE & CO      $823,136
     JPM8,750,752-243,967$823,097
     JPM.PRH959UNCH$24
     JPM.PRD555UNCH$15
ISHARES TR (EFA) 13,453,470 -1,129,739 $818,913
     EFA13,453,470-1,129,739$818,913
INTEL CORP 12,952,303 +1,589,299 $774,936
     INTC12,952,303+1,589,299$774,936
ISHARES TR (IWF) 3,884,954 -35,206 $745,717
     IWF3,884,954-35,206$745,717
PEPSICO INC 5,374,501 +16,283 $710,830
     PEP5,374,501+16,283$710,830
MERCK & CO. INC 9,076,584 +2,435 $701,894
     MRK9,076,584+2,435$701,894
ALPHABET INC 483,778 +7,950 $686,023
     GOOGL483,778+7,950$686,023
ISHARES TR (IJR) 9,912,006 +1,170,764 $676,890
     IJR9,912,006+1,170,764$676,890
BERKSHIRE HATHAWAY INC DEL      $675,902
     BRK.A1,650-38$441,045
     BRK.B1,315,648-42,947$234,857
ISHARES TR (MUB) 5,742,881 +219,134 $662,730
     MUB5,742,881+219,134$662,730
VANGUARD INDEX FDS (VUG) 3,040,846 -5,494 $614,524
     VUG3,040,846-5,494$614,524
MCDONALDS CORP 3,276,016 -69,743 $604,326
     MCD3,276,016-69,743$604,326
INVESCO QQQ TR 2,373,648 +908,714 $587,715
     QQQ2,373,648+908,714$587,715
EXXON MOBIL CORP 12,526,151 -567,574 $560,169
     XOM12,526,151-567,574$560,169
ISHARES TR (IJH) 3,096,641 -102,769 $550,644
     IJH3,096,641-102,769$550,644
VISA INC 2,801,296 -41,867 $541,125
     V2,801,296-41,867$541,125
ISHARES TR (IWM) 3,743,010 -55,570 $535,923
     IWM3,743,010-55,570$535,923
VANGUARD BD INDEX FDS (BND) 6,033,531 +216,907 $533,003
     BND6,033,531+216,907$533,003
ABBVIE INC 5,257,404 +456,877 $516,173
     ABBV5,257,404+456,877$516,173
PFIZER INC 15,665,527 -611,059 $512,264
     PFE15,665,527-611,059$512,264
VERIZON COMMUNICATIONS INC 9,150,567 +271,801 $504,472
     VZ9,150,567+271,801$504,472
CISCO SYS INC 10,524,993 +109,925 $490,885
     CSCO10,524,993+109,925$490,885
ISHARES TR (AGG) 4,113,802 +58,945 $486,291
     AGG4,113,802+58,945$486,291
NEXTERA ENERGY INC      $464,574
     NEE1,934,136-5,941$464,522
     NEE.PRK1,840UNCH$47
     NEE.PRI200-1,000$5
VANGUARD INDEX FDS (VO) 2,809,498 -86,261 $460,506
     VO2,809,498-86,261$460,506
VANGUARD INDEX FDS (VTI) 2,851,138 -250,342 $446,288
     VTI2,851,138-250,342$446,288
ABBOTT LABS 4,743,386 +12,475 $433,687
     ABT4,743,386+12,475$433,687
VANGUARD INTL EQUITY INDEX F (VEU) 8,864,284 -554,214 $422,027
     VEU8,864,284-554,214$422,027
BRISTOL MYERS SQUIBB CO      $415,822
     BMY7,063,137+781,271$415,312
     RIGHT 99 99 99142,680+142,680$510
ISHARES TR (IWB) 2,417,321 -1,576 $415,004
     IWB2,417,321-1,576$415,004
VANGUARD INTL EQUITY INDEX F (VWO) 10,289,297 -406,201 $407,559
     VWO10,289,297-406,201$407,559
VANGUARD INDEX FDS (VTV) 4,079,473 -202,388 $406,274
     VTV4,079,473-202,388$406,274
AMGEN INC 1,706,401 -25,278 $402,471
     AMGN1,706,401-25,278$402,471
LILLY ELI & CO 2,395,190 -56,819 $393,242
     LLY2,395,190-56,819$393,242
CHEVRON CORP NEW 4,332,839 -57,757 $386,618
     CVX4,332,839-57,757$386,618
VANGUARD INDEX FDS (VV) 2,656,095 -392,053 $379,823
     VV2,656,095-392,053$379,823
UNITEDHEALTH GROUP INC 1,280,836 +13,715 $377,784
     UNH1,280,836+13,715$377,784
3M CO 2,401,114 -20,355 $374,550
     MMM2,401,114-20,355$374,550

See Full List: All Stocks Held By PNC Financial Services Group Inc.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By PNC Financial Services Group Inc.

Size ($ in 1000's)
At 06/30/2020: $75,167,220
At 03/31/2020: $79,451,778

Combined Holding Report Includes:
PNC Financial Services Group Inc.
PNC Bank National Association
PNC Capital Advisors LLC
PNC Delaware Trust Company
PNC Investments LLC

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

PNC Financial Services Group Inc. Top Holdings 13F Filings | www.HoldingsChannel.com

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