HoldingsChannel.com
Regions Financial Corp Top Holdings
As of  03/31/2019

   EntityAmountChange
 12/31/2018 to 03/31/2019
Position Size
($ in 1000's)
ISHARES (IVV) 1,367,557 -20,906 $389,152
     IVV1,367,557-20,906$389,152
iShares ETFs USA (IJH) 1,453,811 -47,304 $275,351
     IJH1,453,811-47,304$275,351
BlackRock Fund Advisors (IJR) 3,095,030 -54,134 $238,781
     IJR3,095,030-54,134$238,781
MICROSOFT CORP 1,626,512 -18,073 $191,831
     MSFT1,626,512-18,073$191,831
JPMorgan Chase & Co 1,570,725 -16,915 $159,005
     JPM1,570,725-16,915$159,005
Exxon Mobil Corp 1,951,374 -27,835 $157,671
     XOM1,951,374-27,835$157,671
Torchmark Corp 1,765,666 -70,142 $144,696
     TMK1,765,666-70,142$144,696
BlackRock Fund Advisors (EFA) 2,190,538 -424,917 $142,078
     EFA2,190,538-424,917$142,078
MERCK & CO INC 1,637,345 -108,269 $136,178
     MRK1,637,345-108,269$136,178
Vanguard Group Inc The (VEA) 3,244,438 -591,167 $132,600
     VEA3,244,438-591,167$132,600
Chevron Corp 1,057,975 -26,025 $130,322
     CVX1,057,975-26,025$130,322
Coca Cola Co The 2,472,659 -70,817 $115,869
     KO2,472,659-70,817$115,869
Snap on Inc 734,307 -853 $114,933
     SNA734,307-853$114,933
Apple Inc 596,933 +46,159 $113,388
     AAPL596,933+46,159$113,388
NEXTERA ENERGY 568,892 -35,050 $109,978
     NEE568,892-35,050$109,978
Procter & Gamble Co The 1,047,894 -16,121 $109,033
     PG1,047,894-16,121$109,033
VERIZON COMMUN 1,774,261 -106,109 $104,912
     VZ1,774,261-106,109$104,912
Vanguard ETF USA (VWO) 2,463,031 -120,055 $104,679
     VWO2,463,031-120,055$104,679
PEPSICO INC 830,002 -21,923 $101,717
     PEP830,002-21,923$101,717
BlackRock Fund Advisors (EEM) 2,311,107 -117,161 $99,193
     EEM2,311,107-117,161$99,193
Walmart Inc 989,514 -47,045 $96,507
     WMT989,514-47,045$96,507
AT&T INC 2,953,122 +17,427 $92,609
     T2,953,122+17,427$92,609
ISHARES (IVW) 530,574 +35,687 $91,450
     IVW530,574+35,687$91,450
Eli Lilly & Co 678,819 -74,999 $88,084
     LLY678,819-74,999$88,084
BK OF AMERICA CORP 3,152,641 +62,412 $86,981
     BAC3,152,641+62,412$86,981
HOME DEPOT INC 438,000 -3,941 $84,048
     HD438,000-3,941$84,048
CHUBB LIMITED COM 599,742 -11,898 $84,012
     CB599,742-11,898$84,012
JB Hunt Transport Services Inc 820,760 +8,363 $83,134
     JBHT820,760+8,363$83,134
WASTE MANAGEMENT 757,973 -54,110 $78,761
     WM757,973-54,110$78,761
BlackRock Fund Advisors (IWF) 501,551 -77,037 $75,915
     IWF501,551-77,037$75,915
BlackRock Inc 171,228 +1,538 $73,178
     BLK171,228+1,538$73,178
Eaton Corp PLC 889,117 -12,783 $71,627
     ETN889,117-12,783$71,627
CISCO SYSTEMS 1,278,468 -98,938 $69,024
     CSCO1,278,468-98,938$69,024
BlackRock Fund Advisors (ACWX) 1,463,236 -163,042 $67,704
     ACWX1,463,236-163,042$67,704
Pfizer Inc 1,574,764 -981,870 $66,880
     PFE1,574,764-981,870$66,880
Prudential Financial Inc 725,957 -12,075 $66,701
     PRU725,957-12,075$66,701
JOHNSON & JOHNSON 468,335 -9,663 $65,469
     JNJ468,335-9,663$65,469
Amazon.com Inc 36,320 +485 $64,676
     AMZN36,320+485$64,676
Comcast Corp 1,574,573 +216,700 $62,952
     CMCSA1,574,573+216,700$62,952
ISHARES (IWM) 410,727 -39,968 $62,878
     IWM410,727-39,968$62,878
MCCORMICK & CO INC 414,918 -77,053 $62,499
     MKC414,918-77,053$62,499
Vulcan Materials Co 511,088 +3,401 $60,513
     VMC511,088+3,401$60,513
DOMINION RES VIR 771,213 -11,122 $59,121
     D771,213-11,122$59,121
Arthur J Gallagher & Co 744,756 -49,897 $58,166
     AJG744,756-49,897$58,166
MCDONALD&apos S CORP 300,948 -11,027 $57,150
     MCD300,948-11,027$57,150
VISA INC 359,035 +5,342 $56,078
     V359,035+5,342$56,078
Intel Corp 1,040,473 -77,436 $55,873
     INTC1,040,473-77,436$55,873
3M Co 266,855 -43,116 $55,447
     MMM266,855-43,116$55,447
Air Products & Chemicals Inc 288,657 -4,836 $55,122
     APD288,657-4,836$55,122
United Parcel Service Inc 483,408 +37,025 $54,016
     UPS483,408+37,025$54,016

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 03/31/2019: $8,685,554
At 12/31/2018: $8,000,955

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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