
BLACKROCK INVESTMENT MANAGEMENT, LLC
Latest 13F filing data - Q4 2016
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | STLD | 876K | $31.17M |
![]() | HCA | 876K | $64.82M |
![]() | NWSA | 875K | $10.02M |
![]() | RDN | 873K | $15.70M |
![]() | MNST | 870K | $38.59M |
![]() | CI | 864K | $115.20M |
![]() | NYT | 858K | $11.42M |
![]() | GOOG | 858K | $662.27M |
![]() | OGE | 851K | $28.48M |
![]() | AXTA | 851K | $23.15M |
![]() | TMO | 848K | $119.60M |
![]() | CMC | 845K | $18.39M |
![]() | PCAR | 842K | $53.80M |
![]() | RRC | 840K | $28.86M |
![]() | WELL | 837K | $56.02M |
![]() | DEO | 834K | $86.67M |
![]() | THC | 833K | $12.36M |
![]() | PSTG | 831K | $9.40M |
![]() | HBI | 831K | $17.93M |
![]() | EFX | 829K | $98.07M |

Steel Dynamics, Inc.
STLD
Shares Held
876K
Value
$31.17M

HCA Healthcare, Inc.
HCA
Shares Held
876K
Value
$64.82M

News Corporation
NWSA
Shares Held
875K
Value
$10.02M

Radian Group Inc.
RDN
Shares Held
873K
Value
$15.70M

Monster Beverage Corporation
MNST
Shares Held
870K
Value
$38.59M

Cigna Corporation
CI
Shares Held
864K
Value
$115.20M

The New York Times Company
NYT
Shares Held
858K
Value
$11.42M

Alphabet Inc.
GOOG
Shares Held
858K
Value
$662.27M

OGE Energy Corp.
OGE
Shares Held
851K
Value
$28.48M

Axalta Coating Systems Ltd.
AXTA
Shares Held
851K
Value
$23.15M

Thermo Fisher Scientific Inc.
TMO
Shares Held
848K
Value
$119.60M

Commercial Metals Company
CMC
Shares Held
845K
Value
$18.39M

PACCAR Inc
PCAR
Shares Held
842K
Value
$53.80M

Range Resources Corporation
RRC
Shares Held
840K
Value
$28.86M

Welltower Inc.
WELL
Shares Held
837K
Value
$56.02M

Diageo plc
DEO
Shares Held
834K
Value
$86.67M

Tenet Healthcare Corporation
THC
Shares Held
833K
Value
$12.36M

Pure Storage, Inc.
PSTG
Shares Held
831K
Value
$9.40M

Hanesbrands Inc.
HBI
Shares Held
831K
Value
$17.93M

Equifax Inc.
EFX
Shares Held
829K
Value
$98.07M
