
BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A.
Latest 13F filing data - Q4 2016
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | SLM | 13.20M | $145.49M |
![]() | COF | 13.05M | $1.14B |
![]() | VLO | 13.02M | $889.34M |
![]() | COTY | 12.99M | $237.87M |
![]() | PNC | 12.97M | $1.52B |
![]() | AAL | 12.94M | $603.95M |
![]() | SPG | 12.92M | $2.29B |
![]() | ADP | 12.77M | $1.31B |
![]() | TEVA | 12.72M | $461.27M |
![]() | NWL | 12.70M | $567.18M |
![]() | NEE | 12.57M | $1.50B |
![]() | CB | 12.43M | $1.64B |
![]() | PSX | 12.27M | $1.06B |
![]() | CTRA | 12.26M | $286.38M |
![]() | PRU | 12.25M | $1.28B |
![]() | WM | 12.23M | $867.09M |
![]() | MPW | 12.18M | $149.79M |
![]() | ETN | 12.12M | $812.98M |
![]() | FE | 12.05M | $373.08M |
![]() | MRVL | 11.98M | $166.10M |

SLM Corporation
SLM
Shares Held
13.20M
Value
$145.49M

Capital One Financial Corporation
COF
Shares Held
13.05M
Value
$1.14B

Valero Energy Corporation
VLO
Shares Held
13.02M
Value
$889.34M

Coty Inc.
COTY
Shares Held
12.99M
Value
$237.87M

The PNC Financial Services Group, Inc.
PNC
Shares Held
12.97M
Value
$1.52B

American Airlines Group Inc.
AAL
Shares Held
12.94M
Value
$603.95M

Simon Property Group, Inc.
SPG
Shares Held
12.92M
Value
$2.29B

Automatic Data Processing, Inc.
ADP
Shares Held
12.77M
Value
$1.31B

Teva Pharmaceutical Industries Limited
TEVA
Shares Held
12.72M
Value
$461.27M

Newell Brands Inc.
NWL
Shares Held
12.70M
Value
$567.18M

NextEra Energy, Inc.
NEE
Shares Held
12.57M
Value
$1.50B

Chubb Limited
CB
Shares Held
12.43M
Value
$1.64B

Phillips 66
PSX
Shares Held
12.27M
Value
$1.06B

Coterra Energy Inc.
CTRA
Shares Held
12.26M
Value
$286.38M

Prudential Financial, Inc.
PRU
Shares Held
12.25M
Value
$1.28B

Waste Management, Inc.
WM
Shares Held
12.23M
Value
$867.09M

Medical Properties Trust, Inc.
MPW
Shares Held
12.18M
Value
$149.79M

Eaton Corporation plc
ETN
Shares Held
12.12M
Value
$812.98M

FirstEnergy Corp.
FE
Shares Held
12.05M
Value
$373.08M

Marvell Technology, Inc.
MRVL
Shares Held
11.98M
Value
$166.10M
