HoldingsChannel.com
State Farm Mutual Automobile Insurance Co. Top Holdings
As of  12/31/2019

   EntityAmountChange
 09/30/2019 to 12/31/2019
Position Size
($ in 1000's)
DISNEY WALT CO 38,198,849 -4,007,169 $5,524,699
     DIS38,198,849-4,007,169$5,524,699
JOHNSON & JOHNSON 34,574,792 -3,303,800 $5,043,425
     JNJ34,574,792-3,303,800$5,043,425
ILLINOIS TOOL WKS INC 21,813,000 -1,341,700 $3,918,269
     ITW21,813,000-1,341,700$3,918,269
AIR PRODS & CHEMS INC 14,016,300 -256,000 $3,293,690
     APD14,016,300-256,000$3,293,690
CATERPILLAR INC DEL 19,186,297 -1,831,436 $2,833,432
     CAT19,186,297-1,831,436$2,833,432
WELLS FARGO CO NEW 51,541,314 -3,497,700 $2,772,923
     WFC51,541,314-3,497,700$2,772,923
APPLE INC 8,445,427 -1,916,445 $2,480,000
     AAPL8,445,427-1,916,445$2,480,000
LILLY ELI & CO 18,619,725 -1,324,800 $2,447,191
     LLY18,619,725-1,324,800$2,447,191
ZOETIS INC 18,133,315 -991,129 $2,399,945
     ZTS18,133,315-991,129$2,399,945
ARCHER DANIELS MIDLAND CO 51,214,613 -998,232 $2,373,797
     ADM51,214,613-998,232$2,373,797
EXXON MOBIL CORP 33,647,900 -3,478,900 $2,347,951
     XOM33,647,900-3,478,900$2,347,951
PROCTER & GAMBLE CO 17,831,030 -2,715,160 $2,227,096
     PG17,831,030-2,715,160$2,227,096
PFIZER INC 56,536,168 -3,144,656 $2,215,087
     PFE56,536,168-3,144,656$2,215,087
MICROSOFT CORP 12,712,004 -1,828,138 $2,004,683
     MSFT12,712,004-1,828,138$2,004,683
3M CO 10,245,700 -886,000 $1,807,547
     MMM10,245,700-886,000$1,807,547
CHEVRON CORP NEW 14,682,215 -1,710,400 $1,769,353
     CVX14,682,215-1,710,400$1,769,353
WALMART INC 14,698,850 -2,102,000 $1,746,812
     WMT14,698,850-2,102,000$1,746,812
VULCAN MATLS CO 11,153,100 -319,100 $1,605,935
     VMC11,153,100-319,100$1,605,935
NUCOR CORP 28,209,300 -2,239,600 $1,587,619
     NUE28,209,300-2,239,600$1,587,619
INTEL CORP 24,970,407 UNCH $1,494,479
     INTC24,970,407UNCH$1,494,479
MCCORMICK & CO INC 8,786,400 -649,000 $1,491,315
     MKC8,786,400-649,000$1,491,315
MERCK & CO INC 14,631,150 -514,650 $1,330,703
     MRK14,631,150-514,650$1,330,703
ABBOTT LABS 14,581,293 -1,343,125 $1,266,531
     ABT14,581,293-1,343,125$1,266,531
COCA COLA CO 20,691,600 -2,759,400 $1,145,280
     KO20,691,600-2,759,400$1,145,280
AT&T INC 26,821,208 -3,054,887 $1,048,173
     T26,821,208-3,054,887$1,048,173
ASML HOLDING N V 3,245,079 -526,962 $960,349
     ASML3,245,079-526,962$960,349
ALPHABET INC 705,103 -166,897 $944,408
     GOOGL705,103-166,897$944,408
INTUIT 3,171,423 -79,600 $830,691
     INTU3,171,423-79,600$830,691
M & T BK CORP 4,499,913 -348,200 $763,860
     MTB4,499,913-348,200$763,860
ABBVIE INC 8,440,529 -221,100 $747,324
     ABBV8,440,529-221,100$747,324
RIO TINTO PLC 12,132,020 -1,412,800 $720,157
     RIO12,132,020-1,412,800$720,157
AMGEN INC 2,889,335 -373,102 $696,531
     AMGN2,889,335-373,102$696,531
AUTOMATIC DATA PROCESSING IN 4,007,391 -141,000 $683,261
     ADP4,007,391-141,000$683,261
UNION PACIFIC CORP 3,677,400 -107,745 $664,837
     UNP3,677,400-107,745$664,837
PEPSICO INC 4,810,005 -857,000 $657,384
     PEP4,810,005-857,000$657,384
APTARGROUP INC 5,556,069 UNCH $642,392
     ATR5,556,069UNCH$642,392
DONALDSON INC 11,133,283 UNCH $641,500
     DCI11,133,283UNCH$641,500
VERIZON COMMUNICATIONS INC 10,447,674 -1,274,943 $641,487
     VZ10,447,674-1,274,943$641,487
BAXTER INTL INC 6,853,390 UNCH $573,080
     BAX6,853,390UNCH$573,080
TEXAS INSTRS INC 4,454,145 -514,641 $571,422
     TXN4,454,145-514,641$571,422
DEERE & CO 3,212,036 -378,807 $556,518
     DE3,212,036-378,807$556,518
COLGATE PALMOLIVE CO 7,683,170 -1,038,200 $528,909
     CL7,683,170-1,038,200$528,909
NORTHERN TR CORP 4,861,750 -793,800 $516,512
     NTRS4,861,750-793,800$516,512
GATX CORP 6,085,700 -147,000 $504,200
     GATX6,085,700-147,000$504,200
CORNING INC 16,185,800 -1,840,500 $471,168
     GLW16,185,800-1,840,500$471,168
US BANCORP DEL 7,905,367 -1,278,613 $468,709
     USB7,905,367-1,278,613$468,709
EMERSON ELEC CO 5,976,045 -298,100 $455,733
     EMR5,976,045-298,100$455,733
UNILEVER N V 7,537,615 -989,456 $433,111
     UN7,537,615-989,456$433,111
GENERAL ELECTRIC CO 36,440,439 -6,563,800 $406,675
     GE36,440,439-6,563,800$406,675
FACEBOOK INC 1,947,700 -322,450 $399,765
     FB1,947,700-322,450$399,765

See Full List: All Stocks Held By State Farm Mutual Automobile Insurance Co.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By State Farm Mutual Automobile Insurance Co.

Size ($ in 1000's)
At 12/31/2019: $79,518,371
At 09/30/2019: $80,956,937

Combined Holding Report Includes:
STATE FARM MUTUAL AUTOMOBILE INSURANCE CO
CAPITAL GUARDIAN TRUST CO
Northern Trust Investments Inc
STATE FARM INVESTMENT MANAGEMENT CORP

State Farm Mutual Automobile Insurance Co. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from State Farm Mutual Automobile Insurance Co. 13F filings. Link to 13F filings: SEC filings

State Farm Mutual Automobile Insurance Co. Top Holdings 13F Filings | www.HoldingsChannel.com

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