HoldingsChannel.com
Regions Financial Corp Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
ISHARES (IVV) 1,387,390 +19,833 $408,934
     IVV1,387,390+19,833$408,934
BlackRock Fund Advisors (IJH) 1,459,683 +5,872 $283,558
     IJH1,459,683+5,872$283,558
BlackRock Fund Advisors (IJR) 3,177,083 +82,053 $248,702
     IJR3,177,083+82,053$248,702
MICROSOFT CORP 1,597,093 -29,419 $213,947
     MSFT1,597,093-29,419$213,947
JPMorgan Chase & Co 1,557,766 -12,959 $174,158
     JPM1,557,766-12,959$174,158
Torchmark Corp 1,766,095 +429 $157,995
     TMK1,766,095+429$157,995
Exxon Mobil Corp 1,980,405 +29,031 $151,758
     XOM1,980,405+29,031$151,758
BlackRock Fund Advisors (EFA) 2,055,059 -135,479 $135,079
     EFA2,055,059-135,479$135,079
Merck & Co Inc 1,609,886 -27,459 $134,989
     MRK1,609,886-27,459$134,989
Vanguard ETF USA (VEA) 3,183,386 -61,052 $132,779
     VEA3,183,386-61,052$132,779
Chevron Corp 1,053,287 -4,688 $131,071
     CVX1,053,287-4,688$131,071
Coca Cola Co The 2,431,574 -41,085 $123,816
     KO2,431,574-41,085$123,816
Snap on Inc 733,885 -422 $121,561
     SNA733,885-422$121,561
Apple Inc 605,757 +8,824 $119,891
     AAPL605,757+8,824$119,891
NEXTERA ENERGY 556,634 -12,258 $114,032
     NEE556,634-12,258$114,032
Procter & Gamble Co The 1,033,315 -14,579 $113,303
     PG1,033,315-14,579$113,303
Walmart Inc 1,005,099 +15,585 $111,053
     WMT1,005,099+15,585$111,053
Vanguard Group Inc The (VWO) 2,506,842 +43,811 $106,616
     VWO2,506,842+43,811$106,616
PEPSICO INC 804,235 -25,767 $105,459
     PEP804,235-25,767$105,459
ISHARES (IVW) 581,350 +50,776 $104,201
     IVW581,350+50,776$104,201
iShares ETFs USA (EEM) 2,345,621 +34,514 $100,650
     EEM2,345,621+34,514$100,650
VERIZON COMMUN 1,747,094 -27,167 $99,811
     VZ1,747,094-27,167$99,811
AT&T INC 2,956,150 +3,028 $99,060
     T2,956,150+3,028$99,060
BK OF AMERICA CORP 3,181,852 +29,211 $92,274
     BAC3,181,852+29,211$92,274
HOME DEPOT INC 438,192 +192 $91,131
     HD438,192+192$91,131
CHUBB LIMITED COM 587,250 -12,492 $86,496
     CB587,250-12,492$86,496
WASTE MANAGEMENT 732,264 -25,709 $84,482
     WM732,264-25,709$84,482
BlackRock Fund Advisors (IWF) 503,243 +1,692 $79,180
     IWF503,243+1,692$79,180
BlackRock Inc 167,789 -3,439 $78,744
     BLK167,789-3,439$78,744
JB Hunt Transport Services Inc 826,313 +5,553 $75,533
     JBHT826,313+5,553$75,533
Eli Lilly & Co 666,495 -12,324 $73,841
     LLY666,495-12,324$73,841
Eaton Corp PLC 879,189 -9,928 $73,219
     ETN879,189-9,928$73,219
Vulcan Materials Co 509,140 -1,948 $69,910
     VMC509,140-1,948$69,910
Amazon.com Inc 36,839 +519 $69,759
     AMZN36,839+519$69,759
Comcast Corp 1,620,066 +45,493 $68,497
     CMCSA1,620,066+45,493$68,497
iShares ETFs USA (ACWX) 1,452,721 -10,515 $67,929
     ACWX1,452,721-10,515$67,929
CISCO SYSTEMS 1,217,370 -61,098 $66,627
     CSCO1,217,370-61,098$66,627
Air Products & Chemicals Inc 281,086 -7,571 $63,630
     APD281,086-7,571$63,630
Arthur J Gallagher & Co 721,846 -22,910 $63,227
     AJG721,846-22,910$63,227
JOHNSON & JOHNSON 452,152 -16,183 $62,975
     JNJ452,152-16,183$62,975
ISHARES (IWM) 403,995 -6,732 $62,822
     IWM403,995-6,732$62,822
VISA INC 357,143 -1,892 $61,982
     V357,143-1,892$61,982
MCDONALD&apos S CORP 298,307 -2,641 $61,947
     MCD298,307-2,641$61,947
MCCORMICK & CO INC 397,540 -17,378 $61,623
     MKC397,540-17,378$61,623
DOMINION RES VIR 792,929 +21,716 $61,310
     D792,929+21,716$61,310
Lockheed Martin Corp 167,753 -3,754 $60,985
     LMT167,753-3,754$60,985
Pfizer Inc 1,370,324 -204,440 $59,363
     PFE1,370,324-204,440$59,363
Thermo Fisher Scientific Inc 190,884 -3,951 $56,058
     TMO190,884-3,951$56,058
BB&T Corp 1,138,113 +2,716 $55,915
     BBT1,138,113+2,716$55,915
US BANCORP 1,048,474 +5,405 $54,941
     USB1,048,474+5,405$54,941

See Full List: All Stocks Held By Regions Financial Corp
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Regions Financial Corp

Size ($ in 1000's)
At 06/30/2019: $8,863,930
At 03/31/2019: $8,685,554

Combined Holding Report Includes:
REGIONS FINANCIAL CORP
Regions Bank

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

Regions Financial Corp Top Holdings 13F Filings | www.HoldingsChannel.com

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