BlackRock Inc. Q4 2019 Filing

Filed February 13, 2020

Portfolio Value

$2.6T

Holdings

4,974

Report Date

Q4 2019

Filing Type

13F-HR

All Holdings (4,974 positions)

StockValue
AUBATLANTIC UN BANKSHARES CORP
$221.6M
OUTOUTFRONT MEDIA INC
$221.5M
QA4AGENTHERM INC
$221.3M
JPXAEROVIRONMENT INC
$221.1M
ECOLUS ECOLOGY INC
$220.8M
SYKES ENTERPRISES INC
$220.7M
ATGEADTALEM GLOBAL ED INC
$220.4M
STBAS & T BANCORP INC
$220.3M
AUDENTES THERAPEUTICS INC
$220.1M
XLVSELECT SECTOR SPDR TR
$219.6M
ISBCUSDINVESTORS BANCORP INC NEW
$219.4M
MDMEDNAX INC
$218.7M
TTENTOTAL S A
$218.2M
UVVUNIVERSAL CORP VA
$218.0M
KNSLKINSALE CAP GROUP INC
$217.7M
AROCARCHROCK INC
$215.2M
PJXPETROLEO BRASILEIRO SA PETRO
$214.8M
HALOHALOZYME THERAPEUTICS INC
$214.5M
VBTXVERITEX HLDGS INC
$214.4M
INGNINOGEN INC
$214.2M
RGNXREGENXBIO INC
$214.2M
HLFHERBALIFE NUTRITION LTD
$214.2M
TAUBMAN CTRS INC
$214.2M
GSGISHARES S&P GSCI COMMODITY I
$214.2M
RPTUSDRPT REALTY
$214.0M
IGLBISHARES TR
$213.9M
ACTUANT CORP
$213.8M
RPDRAPID7 INC
$212.9M
NPOENPRO INDS INC
$212.7M
SHYGISHARES TR
$212.3M
MTRNMATERION CORP
$212.3M
UPBDRENT A CTR INC NEW
$212.2M
CARGCARGURUS INC
$212.0M
T77LENDINGTREE INC NEW
$211.6M
EWAISHARES INC
$211.2M
FUODOLBY LABORATORIES INC
$211.1M
AMCXAMC NETWORKS INC
$210.9M
PATTERN ENERGY GROUP INC
$210.9M
TN1TENNANT CO
$210.9M
ATHMAUTOHOME INC
$210.8M
RA PHARMACEUTICALS INC
$210.6M
7SUSUMMIT MATLS INC
$210.1M
1GSNNOVANTA INC
$209.6M
FCFFIRST COMWLTH FINL CORP PA
$209.0M
SL2SLEEP NUMBER CORP
$208.4M
CALMCAL MAINE FOODS INC
$208.3M
MDRXALLSCRIPTS HEALTHCARE SOLUTN
$208.1M
STAMPS COM INC
$208.1M
CTVHELIX ENERGY SOLUTIONS GRP I
$207.3M
SUPNSUPERNUS PHARMACEUTICALS INC
$207.2M
PTENPATTERSON UTI ENERGY INC
$206.9M
HANHAWAIIAN HOLDINGS INC
$206.8M
SAVESPIRIT AIRLS INC
$206.7M
TG7TRIUMPH GROUP INC NEW
$206.7M
DINDINE BRANDS GLOBAL INC
$206.6M
WW6WW INTL INC
$206.6M
IDIINTERDIGITAL INC
$206.5M
SMPLSIMPLY GOOD FOODS CO
$206.3M
NSZNETSCOUT SYS INC
$206.2M
NEARISHARES US ETF TR
$206.1M
SCZISHARES TR
$206.1M
GDSGDS HLDGS LTD
$206.1M
FBCUSDFLAGSTAR BANCORP INC
$204.9M
DCHAMERICAN AXLE & MFG HLDGS IN
$204.8M
SAFTSAFETY INS GROUP INC
$204.8M
AWIARMSTRONG WORLD INDS INC NEW
$204.8M
GARDNER DENVER HLDGS INC
$204.7M
AMBAAMBARELLA INC
$204.5M
FXIISHARES TR
$203.5M
SWN1EURSOUTHWESTERN ENERGY CO
$203.2M
AM6AMICUS THERAPEUTICS INC
$203.1M
TRNTRINITY INDS INC
$202.8M
VIRTUSA CORP
$202.4M
RAREULTRAGENYX PHARMACEUTICAL IN
$202.1M
STAYUSDEXTENDED STAY AMER INC
$201.7M
SG7SAGE THERAPEUTICS INC
$201.1M
CORECORE MARK HOLDING CO INC
$200.8M
MG1MGE ENERGY INC
$200.8M
COKECOCA COLA CONSOLIDATED INC
$200.2M
BDNBRANDYWINE RLTY TR
$200.2M
ARQULE INC
$199.8M
MIGAMICROSTRATEGY INC
$199.6M
TMHCTAYLOR MORRISON HOME CORP
$199.2M
SKTTANGER FACTORY OUTLET CTRS I
$198.8M
GVAGRANITE CONSTR INC
$198.6M
SPRINT CORPORATION
$198.2M
RETAIL PPTYS AMER INC
$198.1M
BHEBENCHMARK ELECTRS INC
$198.0M
TCMDTACTILE SYS TECHNOLOGY INC
$198.0M
ADUSADDUS HOMECARE CORP
$197.8M
CAREER EDUCATION CORP
$197.2M
GTYGETTY RLTY CORP NEW
$197.1M
INTERXION HOLDING N.V
$196.5M
AVTABLUCORA INC
$196.5M
CVNACARVANA CO
$196.4M
MIRAGEN THERAPEUTICS INC
$196.0M
ENPHENPHASE ENERGY INC
$195.9M
EPCEDGEWELL PERS CARE CO
$195.5M
APOEURAPOLLO GLOBAL MGMT INC
$195.5M
MATVSCHWEITZER-MAUDUIT INTL INC
$195.2M
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