HoldingsChannel.com
State Street Corp Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
MICROSOFT CORP 313,098,610 -14,815 $41,942,690
     MSFT313,098,610-14,815$41,942,690
APPLE INC 187,085,416 -3,564,861 $37,027,946
     AAPL187,085,416-3,564,861$37,027,946
AMAZON COM INC 16,567,448 +31,185 $31,372,617
     AMZN16,567,448+31,185$31,372,617
JOHNSON & JOHNSON 152,495,321 -2,646,033 $21,239,548
     JNJ152,495,321-2,646,033$21,239,548
FACEBOOK INC 92,808,391 +202,371 $17,912,019
     FB92,808,391+202,371$17,912,019
BERKSHIRE HATHAWAY INC DEL      $16,836,654
     BRK.B78,487,968+325,362$16,731,280
     BRK.A331-15$105,374
JPMORGAN CHASE & CO 149,531,420 -672,964 $16,717,613
     JPM149,531,420-672,964$16,717,613
LOCKHEED MARTIN CORP 44,107,368 -908,901 $16,034,793
     LMT44,107,368-908,901$16,034,793
EXXON MOBIL CORP 200,531,057 -3,705,254 $15,366,695
     XOM200,531,057-3,705,254$15,366,695
CHEVRON CORP NEW 114,215,995 -1,180,892 $14,213,038
     CVX114,215,995-1,180,892$14,213,038
ALIBABA GROUP HLDG LTD 30,749,408 -527,894 $14,034,870
     BABA30,749,408-527,894$14,034,870
VISA INC 77,812,907 -456,530 $13,504,430
     V77,812,907-456,530$13,504,430
PROCTER AND GAMBLE CO 116,868,378 +1,830,171 $12,814,618
     PG116,868,378+1,830,171$12,814,618
PFIZER INC 293,389,257 -4,076,650 $12,709,623
     PFE293,389,257-4,076,650$12,709,623
ALPHABET INC 11,682,902 +40,178 $12,628,166
     GOOG11,682,902+40,178$12,628,166
ALPHABET INC 11,574,993 +83,250 $12,533,402
     GOOGL11,574,993+83,250$12,533,402
UNITED TECHNOLOGIES CORP 94,461,029 +4,351,272 $12,298,826
     UTX94,461,029+4,351,272$12,298,826
BANK AMER CORP      $11,310,393
     BAC386,278,603-5,332,722$11,202,079
     BAC.PRL78,992-1,250$108,314
UNITEDHEALTH GROUP INC 45,700,737 -839,574 $11,151,437
     UNH45,700,737-839,574$11,151,437
HOME DEPOT INC 52,690,591 -216,571 $10,958,062
     HD52,690,591-216,571$10,958,062
CISCO SYS INC 187,988,153 -4,588,756 $10,288,592
     CSCO187,988,153-4,588,756$10,288,592
DISNEY WALT CO 73,122,093 -1,645,380 $10,210,769
     DIS73,122,093-1,645,380$10,210,769
AT&T INC 296,759,400 -99,820 $9,944,407
     T296,759,400-99,820$9,944,407
MERCK & CO INC 116,524,116 -677,982 $9,833,920
     MRK116,524,116-677,982$9,833,920
MASTERCARD INC 36,885,830 -76,310 $9,757,409
     MA36,885,830-76,310$9,757,409
BOEING CO 26,128,035 -151,127 $9,510,866
     BA26,128,035-151,127$9,510,866
INTEL CORP 195,542,175 -840,348 $9,360,604
     INTC195,542,175-840,348$9,360,604
VERIZON COMMUNICATIONS INC 162,345,235 +876,407 $9,274,783
     VZ162,345,235+876,407$9,274,783
COCA COLA CO 179,209,140 +3,602,241 $9,195,684
     KO179,209,140+3,602,241$9,195,684
PEPSICO INC 65,844,809 +623,297 $8,634,230
     PEP65,844,809+623,297$8,634,230
WELLS FARGO CO NEW      $8,556,918
     WFC177,892,107-2,004,818$8,417,855
     WFC.PRL101,622-3,002$139,063
MCDONALDS CORP 39,539,463 +178,722 $8,210,765
     MCD39,539,463+178,722$8,210,765
WALMART INC 69,626,859 +413,612 $7,693,072
     WMT69,626,859+413,612$7,693,072
INTERNATIONAL BUSINESS MACHS 53,679,173 -798,016 $7,402,358
     IBM53,679,173-798,016$7,402,358
3M CO 42,360,021 -371,377 $7,342,686
     MMM42,360,021-371,377$7,342,686
COMCAST CORP NEW 171,753,070 +45,305 $7,261,720
     CMCSA171,753,070+45,305$7,261,720
CITIGROUP INC 103,185,502 -1,605,937 $7,226,081
     C103,185,502-1,605,937$7,226,081
CATERPILLAR INC DEL 46,737,659 -394,407 $6,369,876
     CAT46,737,659-394,407$6,369,876
ABBOTT LABS 73,421,106 -252,318 $6,174,715
     ABT73,421,106-252,318$6,174,715
NETFLIX INC 16,234,767 +32,938 $5,963,355
     NFLX16,234,767+32,938$5,963,355
ORACLE CORP 102,049,379 -4,402,794 $5,813,753
     ORCL102,049,379-4,402,794$5,813,753
ADOBE INC 19,713,938 +99,632 $5,808,712
     ADBE19,713,938+99,632$5,808,712
NORTHROP GRUMMAN CORP 17,592,212 -238,660 $5,684,220
     NOC17,592,212-238,660$5,684,220
MEDTRONIC PLC 57,691,503 +64,328 $5,618,575
     MDT57,691,503+64,328$5,618,575
MORGAN STANLEY 121,346,201 -4,038,191 $5,316,177
     MS121,346,201-4,038,191$5,316,177
PAYPAL HLDGS INC 45,814,929 +263,105 $5,243,977
     PYPL45,814,929+263,105$5,243,977
NEXTERA ENERGY INC      $5,196,939
     NEE25,126,109+499,395$5,147,335
     NEE.PRR755,811-62,000$49,604
HONEYWELL INTL INC 29,437,565 -154,687 $5,139,504
     HON29,437,565-154,687$5,139,504
UNION PACIFIC CORP 29,613,625 -649,873 $5,007,960
     UNP29,613,625-649,873$5,007,960
NIKE INC 59,445,682 +60,430 $5,003,302
     NKE59,445,682+60,430$5,003,302

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

See Details: Top 10 Stocks Held By State Street Corp

Size ($ in 1000's)
At 06/30/2019: $1,341,154,394
At 03/31/2019: $1,281,701,585

Combined Holding Report Includes:
STATE STREET CORP
STATE STREET BANK & TRUST CO
SSGA FUNDS MANAGEMENT INC
State Street Global Advisors LTD
State Street Global Advisors Ltd.
State Street Global Advisors Australia
State Street Global Advisors Japan Co. Ltd.
State Street Global Advisors Singapore LTD
State Street Global Advisors Asia LTD
State Street Global Advisors GmbH
State Street Global Advisors Ireland Ltd
State Street Global Advisors Trust Co

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

State Street Corp Top Holdings 13F Filings | www.HoldingsChannel.com

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