
BLACKROCK INVESTMENT MANAGEMENT, LLC
Latest 13F filing data - Q4 2016
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | HD | 5.35M | $716.69M |
![]() | RF | 5.33M | $76.49M |
![]() | MPC | 5.30M | $266.86M |
![]() | UNH | 5.27M | $843.97M |
![]() | SLB | 5.20M | $436.29M |
![]() | AMD | 5.15M | $58.35M |
![]() | BBVA | 4.99M | $33.81M |
![]() | AIG | 4.85M | $316.73M |
![]() | SLM | 4.76M | $52.44M |
![]() | BRK-B | 4.62M | $752.40M |
![]() | MDLZ | 4.53M | $200.80M |
![]() | DVN | 4.37M | $199.40M |
![]() | OXY | 4.21M | $299.78M |
![]() | PM | 4.20M | $384.68M |
![]() | MET | 4.14M | $222.86M |
![]() | ABBV | 4.05M | $253.81M |
![]() | ITUB | 3.84M | $39.52M |
![]() | BMY | 3.81M | $222.85M |
![]() | KMI | 3.68M | $76.20M |
![]() | DD | 3.66M | $268.51M |

The Home Depot, Inc.
HD
Shares Held
5.35M
Value
$716.69M

Regions Financial Corporation
RF
Shares Held
5.33M
Value
$76.49M

Marathon Petroleum Corporation
MPC
Shares Held
5.30M
Value
$266.86M

UnitedHealth Group Incorporated
UNH
Shares Held
5.27M
Value
$843.97M

SLB N.V.
SLB
Shares Held
5.20M
Value
$436.29M

Advanced Micro Devices, Inc.
AMD
Shares Held
5.15M
Value
$58.35M

Banco Bilbao Vizcaya Argentaria, S.A.
BBVA
Shares Held
4.99M
Value
$33.81M

American International Group, Inc.
AIG
Shares Held
4.85M
Value
$316.73M

SLM Corporation
SLM
Shares Held
4.76M
Value
$52.44M

Berkshire Hathaway Inc.
BRK-B
Shares Held
4.62M
Value
$752.40M

Mondelez International, Inc.
MDLZ
Shares Held
4.53M
Value
$200.80M

Devon Energy Corporation
DVN
Shares Held
4.37M
Value
$199.40M

Occidental Petroleum Corporation
OXY
Shares Held
4.21M
Value
$299.78M

Philip Morris International Inc.
PM
Shares Held
4.20M
Value
$384.68M

MetLife, Inc.
MET
Shares Held
4.14M
Value
$222.86M

AbbVie Inc.
ABBV
Shares Held
4.05M
Value
$253.81M

Itaú Unibanco Holding S.A.
ITUB
Shares Held
3.84M
Value
$39.52M

Bristol-Myers Squibb Company
BMY
Shares Held
3.81M
Value
$222.85M

Kinder Morgan, Inc.
KMI
Shares Held
3.68M
Value
$76.20M

DuPont de Nemours, Inc.
DD
Shares Held
3.66M
Value
$268.51M
