BlackRock Inc. Q1 2020 Filing

Filed May 1, 2020

Portfolio Value

$2.0B

Holdings

4,943

Report Date

Q1 2020

Filing Type

13F-HR

All Holdings (4,943 positions)

StockValue
DOVER MOTORSPORTS INC
$420K
DSIISHARES TR
$415K
DIVIDEND & INCOME FUND
$414K
MITCHAM INDS INC
$413K
HYREQHYRECAR INC
$409K
OGENORAGENICS INC
$409K
THL CREDIT INC
$409K
ISHARES U S ETF TR
$399K
CLVS 1.25 05/01/25CLOVIS ONCOLOGY INC
$399K
NEOS THERAPEUTICS INC
$396K
CAPITAL SR LIVING CORP
$393K
SURFUSDSURFACE ONCOLOGY INC
$392K
UBSUBS GROUP AG
$391K
XGDVXGABELLI DIVID & INCOME TR
$390K
CBFVCB FINL SVCS INC
$384K
UGUNITED GUARDIAN INC
$382K
TLRYEURTILRAY INC
$382K
RUBICON TECHNOLOGY INC
$382K
SMINISHARES TR
$379K
LUBYS INC
$379K
TAUSDTRAVELCENTERS OF AMERICA INC
$377K
YOUNGEVITY INTL INC
$372K
NEUBASE THERAPEUTICS INC
$371K
TBHCKIRKLANDS INC
$371K
TPHSTRINITY PL HLDGS INC
$366K
ELMDELECTROMED INC
$365K
RANDOLPH BANCORP INC
$364K
VODVODAFONE GROUP PLC NEW
$361K
NEUROBO PHARMACEUTICALS INC
$358K
CURIS INC
$351K
HILL INTL INC
$349K
SLVISHARES SILVER TRUST
$348K
QUIKQUICKLOGIC CORP
$348K
PFIEEURPROFIRE ENERGY INC
$348K
INSIGNIA SYS INC
$347K
ACUACME UTD CORP
$343K
TENXTENAX THERAPEUTICS INC
$342K
AGROFRESH SOLUTIONS
$342K
SNFCASECURITY NATL FINL CORP
$336K
GROWU S GLOBAL INVS INC
$335K
VEUVANGUARD INTL EQUITY INDEX F
$335K
IEC ELECTRS CORP NEW
$333K
FLY LEASING LTD
$333K
CHINA INDEX HLDGS LTD
$332K
VNOMVIPER ENERGY PARTNERS LP
$330K
PSTLPOSTAL REALTY TRUST INC
$328K
STRMSTREAMLINE HEALTH SOLUTIONS
$325K
JIANPU TECHNOLOGY INC
$322K
CMFISHARES TR
$322K
ISHARES TR
$319K
SALMSALEM MEDIA GROUP INC
$316K
BIO PATH HOLDINGS INC
$313K
DYAIDYADIC INTL INC DEL
$313K
ISHARES TR
$310K
XAIRBEYOND AIR INC
$307K
LIZHI INC
$302K
ETONETON PHARMACEUTICALS INC
$301K
SHILOH INDS INC
$300K
ITMVANECK VECTORS ETF TR
$296K
COHBAR INC
$295K
PJ4APARK CITY GROUP INC
$292K
APDNAPPLIED DNA SCIENCES INC
$291K
FPHFIVE POINT HOLDINGS LLC
$287K
VNQIVANGUARD INTL EQUITY INDEX F
$286K
MNTXMANITEX INTL INC
$284K
CIDARA THERAPEUTICS INC
$283K
AVGO 8 09/30/22 ABROADCOM INC
$282K
AUTOWEB INC
$279K
COUNTY BANCORP INC
$277K
BSQUARE CORP
$277K
NYMXFNYMOX PHARMACEUTICAL CORP
$275K
EBMTEAGLE BANCORP MONT INC
$274K
SRTSSENSUS HEATLHCARE INC
$273K
LTRXLANTRONIX INC
$270K
GLINVANECK VECTORS ETF TR
$267K
ADILADIAL PHARMACEUTICALS INC
$267K
EVOLEVOLVING SYS INC
$266K
IJJISHARES TR
$266K
AGM/AFEDERAL AGRIC MTG CORP
$265K
WESTELL TECHNOLOGIES INC
$265K
ATOMATOMERA INC
$264K
MTBC INC
$263K
VIGVANGUARD SPECIALIZED FUNDS
$262K
GNCAQGENOCEA BIOSCIENCES INC
$258K
CMCLCALEDONIA MNG CORP PLC
$257K
GOOGLALPHABET INC
$256K
TGLSTECNOGLASS INC
$256K
RAILFREIGHTCAR AMER INC
$256K
ORGSORGENESIS INC
$255K
JXIISHARES TR
$254K
PB BANCORP INC
$253K
ESEAEUROSEAS LTD
$253K
NXDTNEXPOINT STRATEGIC OPORTUNT
$251K
SEVERN BANCORP ANNAPOLIS MD
$250K
NESCO HLDGS INC
$250K
VISTVISTA OIL & GAS S A B DE C V
$248K
LPZBLIGHTPATH TECHNOLOGIES INC
$247K
OSBCADNORBORD INC
$246K
CARRCARRIER GLOBAL CORPORATION
$238K
DXYNDIXIE GROUP INC
$236K
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