HoldingsChannel.com
Tyers Asset Management LLC Top Holdings
As of  09/30/2019

   EntityAmountChange
 06/30/2019 to 09/30/2019
Position Size
($ in 1000's)
Apple Inc 998,088 -12,656 $223,542
     AAPL998,088-12,656$223,542
Merck & Co Inc 1,007,244 -14,924 $84,790
     MRK1,007,244-14,924$84,790
Thermo Fisher Scientific Inc 228,172 -1,512 $66,459
     TMO228,172-1,512$66,459
Home Depot Inc The 276,164 +5,460 $64,076
     HD276,164+5,460$64,076
Intel Corp 1,215,344 -86,336 $62,627
     INTC1,215,344-86,336$62,627
JPMorgan Chase & Co 461,978 +44,484 $54,370
     JPM461,978+44,484$54,370
Stryker Corp 246,884 -5,280 $53,401
     SYK246,884-5,280$53,401
Facebook Inc 297,568 +25,120 $52,991
     FB297,568+25,120$52,991
Berkshire Hathaway Inc      $52,340
     BRK.B251,608+20,804$52,340
Chevron Corp 419,716 +6,952 $49,778
     CVX419,716+6,952$49,778
Danaher Corp 340,424 -448 $49,168
     DHR340,424-448$49,168
iShares Core S&P 500 ETF (IVV) 157,542 -13,442 $47,029
     IVV157,542-13,442$47,029
Wal Mart Stores Inc 382,368 +29,204 $45,379
     WMT382,368+29,204$45,379
American Tower Corp 193,788 +896 $42,852
     AMT193,788+896$42,852
Applied Materials Inc 854,896 +104,692 $42,659
     AMAT854,896+104,692$42,659
Fastenal Co 1,236,422 -17,292 $40,394
     FAST1,236,422-17,292$40,394
First Republic Bank CA 413,392 +33,628 $39,975
     FRC413,392+33,628$39,975
UnitedHealth Group Inc 182,468 +20,460 $39,654
     UNH182,468+20,460$39,654
Exxon Mobil Corp 519,152 +36,992 $36,657
     XOM519,152+36,992$36,657
Bank of America Corp 1,235,388 +116,776 $36,037
     BAC1,235,388+116,776$36,037
Texas Instruments Inc 252,084 -10,640 $32,579
     TXN252,084-10,640$32,579
Walt Disney Co The 247,584 -29,552 $32,265
     DIS247,584-29,552$32,265
Union Pacific Corp 194,480 +8,704 $31,502
     UNP194,480+8,704$31,502
iShares Russell 1000 Growth ETF (IWF) 190,718 -20,746 $30,444
     IWF190,718-20,746$30,444
Adobe Systems Inc 94,496 -2,544 $26,105
     ADBE94,496-2,544$26,105
US Bancorp MN 463,936 -1,376 $25,674
     USB463,936-1,376$25,674
iShares Russell 2000 ETF (IWM) 164,560 +164,560 $24,904
     IWM164,560+164,560$24,904
Abbott Laboratories 296,560 -3,456 $24,813
     ABT296,560-3,456$24,813
NIKE Inc 253,552 +29,360 $23,814
     NKE253,552+29,360$23,814
NextEra Energy Inc 100,864 -1,376 $23,500
     NEE100,864-1,376$23,500
iShares Core MSCI Emerging Markets ETF (IEMG) 445,280 -9,526 $21,828
     IEMG445,280-9,526$21,828
Intuitive Surgical Inc 39,578 +3,894 $21,369
     ISRG39,578+3,894$21,369
IntercontinentalExchange Inc (ICE) 227,920 +48 $21,030
     ICE227,920+48$21,030
Illinois Tool Works Inc 126,752 +4,160 $19,835
     ITW126,752+4,160$19,835
Air Products & Chemicals Inc 88,352 +4,384 $19,602
     APD88,352+4,384$19,602
Quintiles Transnational Holdings Inc 128,502 +60,940 $19,196
     IQV128,502+60,940$19,196
Comcast Corp 392,720 +7,776 $17,704
     CMCSA392,720+7,776$17,704
AT&T Inc 467,232 +180,416 $17,680
     T467,232+180,416$17,680
McDonald s Corp 80,780 +8,400 $17,344
     MCD80,780+8,400$17,344
Aon PLC 88,688 -1,184 $17,167
     AON88,688-1,184$17,167
AO Smith Corp 356,608 -25,424 $17,013
     AOS356,608-25,424$17,013
ConocoPhillips 296,368 -17,968 $16,887
     COP296,368-17,968$16,887
Dominion Resources Inc VA 186,896 +3,056 $15,146
     D186,896+3,056$15,146
Royal Bank of Canada 184,324 +9,604 $14,929
     RY184,324+9,604$14,929
Pfizer Inc 411,972 -81,114 $14,802
     PFE411,972-81,114$14,802
Amgen Inc 75,880 +4,060 $14,683
     AMGN75,880+4,060$14,683
LyondellBasell Industries NV 156,464 +47,504 $13,999
     LYB156,464+47,504$13,999
Xilinx Inc 145,124 +14,112 $13,917
     XLNX145,124+14,112$13,917
Cummins Inc 85,344 -16,800 $13,883
     CMI85,344-16,800$13,883
Exact Sciences Corp 151,792 -8,640 $13,717
     EXAS151,792-8,640$13,717

See Full List: All Stocks Held By Tyers Asset Management LLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Tyers Asset Management LLC

Size ($ in 1000's)
At 09/30/2019: $3,020,479
At 06/30/2019: $2,976,307

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

Tyers Asset Management LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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