Angeles Investment Advisors, LLC Q2 2020 Filing
Filed August 13, 2020
Portfolio Value
$705.8M
Holdings
102
Report Date
Q2 2020
Filing Type
13F-HR
All Holdings (102 positions)
| Stock | Value |
|---|---|
MGKBlackRock Inc | $360.0M |
VOOVanguard Group Inc/The | $69.1M |
LQDBlackRock Inc | $64.0M |
VTWOVanguard Group Inc/The | $30.2M |
HYGVanguard Group Inc/The | $22.6M |
MBBBlackRock Inc | $20.5M |
SPDWSSGA | $18.6M |
VTVanguard Group Inc/The | $16.8M |
SPYState Street Corp | $10.3M |
VTIVanguard Group Inc/The | $8.7M |
MSFTMicrosoft Corp | $6.2M |
BKLNInvesco Ltd | $6.1M |
SJNKState Street Corp | $6.0M |
PFFBlackRock Inc | $6.0M |
AAPLApple Inc | $3.7M |
VIGVanguard Group Inc/The | $3.2M |
AMZNAmazon.com Inc | $2.8M |
CLColgate-Palmolive Co | $2.1M |
HDHome Depot Inc/The | $2.1M |
SHWSherwin-Williams Co/The | $1.9M |
VXUSVanguard Group Inc/The | $1.9M |
VWOVanguard Group Inc/The | $1.7M |
AONAon PLC | $1.6M |
COSTCostco Wholesale Corp | $1.5M |
VVisa Inc | $1.4M |
VOTVanguard Group Inc/The | $1.3M |
TMOThermo Fisher Scientific Inc | $1.3M |
MRKMerck & Co Inc | $1.1M |
BALLBall Corp | $983K |
EEMBlackRock Inc | $967K |
VEUVanguard Group Inc/The | $957K |
INTCIntel Corp | $949K |
VNQVanguard Group Inc/The | $911K |
PEPPepsiCo Inc | $906K |
ISRGIntuitive Surgical Inc | $855K |
JNJJohnson & Johnson | $840K |
AGGBlackRock Inc | $816K |
EFAXSSGA | $704K |
METAFacebook Inc | $703K |
MCOMoody's Corp | $688K |
UNPUnion Pacific Corp | $676K |
ADBEADOBE (NAS) | $660K |
NSRGYNESTLE SA, CHAM UND VEVEY | $657K |
ZTSZOETIS A | $646K |
NKENIKE 'B' | $597K |
MAMastercard Inc | $584K |
VBRVanguard Group Inc/The | $576K |
DISWalt Disney Co/The | $570K |
ACNAccenture PLC | $566K |
IWFBlackRock Inc | $554K |
BDXBecton Dickinson and Co | $534K |
SHOPShopify Inc | $513K |
AMTAMERICAN TOWER | $503K |
CRMSALESFORCE.COM | $493K |
NFLXNetflix Inc | $493K |
MGVVanguard Group Inc/The | $484K |
GOOGAlphabet Inc | $452K |
BABAALIBABA GROUP HOLDING ADR 1:8 | $445K |
BRK/BBerkshire Hathaway Inc | $437K |
IVVBlackRock Inc | $434K |
IUSVBlackRock Inc | $413K |
RMERESMED | $393K |
ODFLOLD DOMINION FGT.LINES | $390K |
AKXANSYS | $379K |
GOOGLAlphabet Inc | $372K |
FNVFRANCO-NEVADA | $363K |
TSMTAIWAN SEMICON.SPN.ADR 1:5 | $357K |
MSCIMSCI INC | $350K |
GVDNYGIVAUDAN UNSP.ADR 50:1 | $337K |
TCEHYTENCENT HOLDINGS LTD | $320K |
TRUPTrupanion Inc | $320K |
MCDMcDonald's Corp | $314K |
EFABlackRock Inc | $313K |
SPYGState Street Corp | $312K |
IEMGBlackRock Inc | $309K |
KOCoca-Cola Co/The | $308K |
IDV*BlackRock Inc | $303K |
BMYBristol-Myers Squibb Co | $303K |
VUGVanguard Group Inc/The | $301K |
XOMExxon Mobil Corp | $299K |
SEDGSOLAREDGE TECHNOLOGIES INC | $292K |
ELESTEE LAUDER COS.'A' | $283K |
BUWABIO-RAD LABORATORIES 'A' | $282K |
HEESEURH&E Equipment Services Inc | $277K |
CMCSAComcast Corp | $270K |
MMM3M Co | $265K |
AQLTBlackRock Inc | $262K |
4I1Philip Morris International In | $256K |
MOAltria Group Inc | $255K |
DHRDanaher Corp | $253K |
PFEPfizer Inc | $252K |
EXPGYEXPERIAN SPN.ADR 1:1 | $246K |
ITWIllinois Tool Works Inc | $243K |
SONYSONY CORP | $242K |
HRCHill-Rom Holdings Inc | $220K |
LMTLockheed Martin Corp | $217K |
NOCNorthrop Grumman Corp | $214K |
WMWaste Management Inc | $212K |
TXNTexas Instruments Inc | $212K |
CICigna Corp | $210K |
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