REGIONS FINANCIAL CORP Q1 2018 Filing

Filed April 18, 2018

Portfolio Value

$8.9T

Holdings

2,007

Report Date

Q1 2018

Filing Type

13F-HR

All Holdings (2,007 positions)

#StockSharesValue% PortfolioType
1
IVVISHARES
1,162,422$308.5B3.46%
2
IJHBlackRock Fund Advisors
1,326,701$248.8B2.79%
3
VEAVanguard ETF/USA
4,859,955$215.1B2.41%
4
IJRBlackRock Fund Advisors
2,736,868$210.8B2.37%
5
EFABlackRock Fund Advisors
2,711,102$188.9B2.12%
6
JPMJP MORGAN CHASE
1,674,084$184.1B2.07%
7
TMKTorchmark Corp
1,864,820$157.0B1.76%
8
XOMExxon Mobil Corp
2,091,042$156.0B1.75%
9
MSFTMicrosoft Corp
1,473,175$134.5B1.51%
10
CVXCHEVRON CORP
1,148,054$130.9B1.47%
11
KOCoca-Cola Co/The
2,803,820$121.8B1.37%
12
TAT&T Inc
3,287,299$117.2B1.32%
13
PFEPfizer Inc
3,133,600$111.2B1.25%
14
MMM3M Co
506,374$111.2B1.25%
15
NEENextEra Energy Inc
671,405$109.7B1.23%
16
SNASnap-on Inc
734,716$108.4B1.22%
17
MRKMerck & Co Inc
1,856,387$101.1B1.13%
18
VWOVanguard ETF/USA
2,104,618$98.9B1.11%
19
AAPLApple Inc
582,709$97.8B1.10%
20
WFCWells Fargo & Co
1,839,748$96.4B1.08%
21
PEPPEPSICO INC
878,805$95.9B1.08%
22
EEMISHARES
1,976,876$95.4B1.07%
23
JBHTJB Hunt Transport Services Inc
812,829$95.2B1.07%
24
PGPROCTER & GAMBLE
1,190,972$94.4B1.06%
25
WMTWalmart Inc
1,057,587$94.1B1.06%
26
BACVerizon Communications Inc
1,957,814$93.6B1.05%
27
BLKCHFBlackRock Inc
170,320$92.3B1.04%
28
BACBank of America Corp
2,892,937$86.8B0.97%
29
CBCHUBB LIMITED COM
609,053$83.3B0.93%
30
WMWaste Management Inc
984,395$82.8B0.93%
31
PRUPrudential Financial Inc
783,833$81.2B0.91%
32
INTCIntel Corp
1,546,538$80.5B0.90%
33
ACWXBlackRock Fund Advisors
1,575,930$78.3B0.88%
34
ETNEaton Corp PLC
936,591$74.8B0.84%
35
HDHome Depot Inc/The
419,701$74.8B0.84%
36
SLBSCHLUMBERGER LTD
1,147,119$74.3B0.83%
37
IWMISHARES
478,236$72.6B0.81%
38
IWFBlackRock Fund Advisors
532,719$72.5B0.81%
39
IDV*BlackRock Fund Advisors
2,190,620$72.3B0.81%
40
RFRegions Financial Corp
3,653,667$67.9B0.76%
41
JNJJohnson & Johnson
515,802$66.1B0.74%
42
LLYEli Lilly & Co
847,199$65.5B0.74%
43
LYBLyondellBasell Industries NV
619,335$65.5B0.73%
44
BBTUSDBB&T Corp
1,202,929$62.6B0.70%
45
CSCOCisco Systems Inc
1,456,881$62.5B0.70%
46
AGGBlackRock Fund Advisors
574,287$61.6B0.69%
47
VMCVulcan Materials Co
537,958$61.4B0.69%
48
AJGArthur J Gallagher & Co
874,894$60.1B0.67%
49
IVWISHARES
386,829$60.0B0.67%
50
LMTLockheed Martin Corp
177,370$59.9B0.67%
51
RTN1USDRaytheon Co
271,084$58.5B0.66%
52
KHCKraft Heinz Co/The
896,007$55.8B0.63%
53
USBUS Bancorp
1,099,010$55.5B0.62%
54
AMZNAMAZON COM INC
37,997$55.0B0.62%
55
BMYBRISTOL-MYRS SQUIB
864,637$54.7B0.61%
56
DDominion Energy Inc
800,532$54.0B0.61%
57
MCDMcDonald's Corp
334,918$52.4B0.59%
58
LNTAlliant Energy Corp
1,260,373$51.5B0.58%
59
QCOMQUALCOMM INC
891,437$49.4B0.55%
60
National Commerce Corp
1,133,635$49.4B0.55%
61
UTXZUTD TECHNOLOGIES
378,001$47.6B0.53%
62
VTIVanguard ETF/USA
339,408$46.1B0.52%
63
HPHelmerich & Payne Inc
650,114$43.3B0.49%
64
APDAir Products & Chemicals Inc
271,696$43.2B0.48%
65
GOOGLALPHABET INC
40,196$41.7B0.47%
66
HASHasbro Inc
483,737$40.8B0.46%
67
HONHONEYWELL INTL INC
273,103$39.5B0.44%
68
MOAltria Group Inc
623,936$38.9B0.44%
69
METMetLife Inc
826,154$37.9B0.43%
70
IVZINVESCO
1,181,079$37.8B0.42%
71
GOOGAlphabet Inc
36,600$37.8B0.42%
72
ORCLORACLE CORP
823,346$37.7B0.42%
73
TMOThermo Fisher Scientific Inc
180,305$37.2B0.42%
74
METAFacebook Inc
218,293$34.9B0.39%
75
SPYSPDR TRUST
132,003$34.7B0.39%
76
SYKStryker Corp
210,568$33.9B0.38%
77
OMCOmnicom Group Inc
461,995$33.6B0.38%
78
PPLPPL Corp
1,183,561$33.5B0.38%
79
UPSUnited Parcel Service Inc
303,815$31.8B0.36%
80
WRKUSDWestRock Co
491,634$31.5B0.35%
81
VVisa Inc
249,419$29.8B0.33%
82
OXYOccidental Petroleum Corp
447,442$29.1B0.33%
83
SunTrust Banks Inc
421,422$28.7B0.32%
84
UNPUnion Pacific Corp
210,390$28.3B0.32%
85
OPLNKAR Auction Services Inc
517,880$28.1B0.31%
86
IJKBlackRock Fund Advisors
125,088$27.3B0.31%
87
SABRSabre Corp
1,269,984$27.2B0.31%
88
GEGeneral Electric Co
1,926,999$26.0B0.29%
89
STTSPDR SERIES TRUST
706,520$25.3B0.28%
90
CLXClorox Co/The
188,007$25.0B0.28%
91
GDGEN DYNAMICS CORP
113,119$25.0B0.28%
92
BRK/BBERKSHIRE HATHAWAY
124,371$24.8B0.28%
93
TRVCCitigroup Inc
353,112$23.8B0.27%
94
DISWALT DISNEY CO.
227,358$22.8B0.26%
95
INTUIntuit Inc
130,605$22.6B0.25%
96
ABBVAbbVie Inc
238,843$22.6B0.25%
97
CTSHCOGNIZANT TECHNOLO
274,521$22.1B0.25%
98
UNHUnitedHealth Group Inc
100,770$21.6B0.24%
99
LQDISHARES
180,159$21.1B0.24%
100
4I1Philip Morris International In
211,703$21.0B0.24%
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