HoldingsChannel.com
ProShare Advisors LLC Top Holdings
As of  03/31/2019

   EntityAmountChange
 12/31/2018 to 03/31/2019
Position Size
($ in 1000's)
MICROSOFT CORP 5,795,225 -47,083 $683,489
     MSFT5,795,225-47,083$683,489
APPLE INC 3,585,299 -55,210 $681,028
     AAPL3,585,299-55,210$681,028
AMAZON COM INC 338,847 -1,690 $603,402
     AMZN338,847-1,690$603,402
FACEBOOK INC 1,770,944 -29,037 $295,199
     FB1,770,944-29,037$295,199
ALPHABET INC 248,935 -784 $292,078
     GOOG248,935-784$292,078
ALPHABET INC 223,129 -119 $262,598
     GOOGL223,129-119$262,598
INTEL CORP 3,924,665 -48,444 $210,755
     INTC3,924,665-48,444$210,755
PEPSICO INC 1,699,393 +16,694 $208,261
     PEP1,699,393+16,694$208,261
CISCO SYS INC 3,636,165 -97,675 $196,317
     CSCO3,636,165-97,675$196,317
JOHNSON & JOHNSON 1,216,008 +73,448 $169,986
     JNJ1,216,008+73,448$169,986
EXXON MOBIL CORP 2,018,543 +84,615 $163,098
     XOM2,018,543+84,615$163,098
CHEVRON CORP NEW 1,193,485 -14,985 $147,013
     CVX1,193,485-14,985$147,013
AUTOMATIC DATA PROCESSING IN 855,207 +24,729 $136,611
     ADP855,207+24,729$136,611
COMCAST CORP NEW 3,409,420 -49,181 $136,309
     CMCSA3,409,420-49,181$136,309
PROCTER AND GAMBLE CO 1,282,062 -24,996 $133,399
     PG1,282,062-24,996$133,399
3M CO 627,076 -9,985 $130,294
     MMM627,076-9,985$130,294
MCDONALDS CORP 673,344 -6,412 $127,868
     MCD673,344-6,412$127,868
WALGREENS BOOTS ALLIANCE INC 1,897,887 +67,162 $120,079
     WBA1,897,887+67,162$120,079
NETFLIX INC 336,226 -11,689 $119,885
     NFLX336,226-11,689$119,885
UNITED TECHNOLOGIES CORP 905,315 +619,474 $116,686
     UTX905,315+619,474$116,686
AMGEN INC 597,346 +9,999 $113,484
     AMGN597,346+9,999$113,484
CATERPILLAR INC DEL 793,344 +537,432 $107,490
     CAT793,344+537,432$107,490
JPMORGAN CHASE & CO 1,061,696 -21,220 $107,475
     JPM1,061,696-21,220$107,475
WALMART INC 1,100,505 +10,368 $107,332
     WMT1,100,505+10,368$107,332
BERKSHIRE HATHAWAY INC DEL      $106,155
     BRK.B528,425-140$106,155
ADOBE INC 396,436 -3,155 $105,646
     ADBE396,436-3,155$105,646
AT&T INC 3,341,939 +49,930 $104,803
     T3,341,939+49,930$104,803
ABBOTT LABS 1,310,309 -8,499 $104,746
     ABT1,310,309-8,499$104,746
COCA COLA CO 2,204,858 +7,203 $103,320
     KO2,204,858+7,203$103,320
BROADCOM INC 341,413 -7,916 $102,666
     AVGO341,413-7,916$102,666
MEDTRONIC PLC 1,098,295 +123,273 $100,033
     MDT1,098,295+123,273$100,033
VISA INC 631,278 -7,303 $98,599
     V631,278-7,303$98,599
LINDE PLC 559,644 +26,813 $98,458
     LIN559,644+26,813$98,458
LOWES COS INC 885,780 +61,803 $96,966
     LOW885,780+61,803$96,966
ROPER TECHNOLOGIES INC 282,113 -6,444 $96,474
     ROP282,113-6,444$96,474
AIR PRODS & CHEMS INC 503,535 -7,338 $96,155
     APD503,535-7,338$96,155
CINTAS CORP 470,654 -20,821 $95,124
     CTAS470,654-20,821$95,124
S&P GLOBAL INC 451,537 -18,861 $95,071
     SPGI451,537-18,861$95,071
BOEING CO 249,153 -6,125 $95,032
     BA249,153-6,125$95,032
CHUBB LIMITED 662,348 +546,308 $92,782
     CB662,348+546,308$92,782
ECOLAB INC 521,628 +2,385 $92,088
     ECL521,628+2,385$92,088
DOVER CORP 960,459 +49,053 $90,091
     DOV960,459+49,053$90,091
MCCORMICK & CO INC 597,005 +87,334 $89,927
     MKC597,005+87,334$89,927
ABBVIE INC 1,115,209 -28,621 $89,875
     ABBV1,115,209-28,621$89,875
PAYPAL HLDGS INC 860,560 -10,329 $89,361
     PYPL860,560-10,329$89,361
NVIDIA CORP 495,714 -13,857 $89,010
     NVDA495,714-13,857$89,010
TARGET CORP 1,106,216 +173,317 $88,785
     TGT1,106,216+173,317$88,785
GENUINE PARTS CO 775,448 +55,270 $86,873
     GPC775,448+55,270$86,873
COLGATE PALMOLIVE CO 1,266,652 +79,168 $86,816
     CL1,266,652+79,168$86,816
PRICE T ROWE GROUP INC 860,527 +25,745 $86,156
     TROW860,527+25,745$86,156

See Full List: All Stocks Held By ProShare Advisors LLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By ProShare Advisors LLC

Size ($ in 1000's)
At 03/31/2019: $16,712,559
At 12/31/2018: $14,287,242

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

ProShare Advisors LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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