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Home/Hedge Funds/BlackRock Group/Q2 2013

BlackRock Group

Period: Q2 2013 Β· Filed: 2013-08-13
View on SEC EDGAR β†—
AUM
$131.87B
Total portfolio value
Positions
2610
Reported securities
Top Holding
XOM
2.3% $3.09B
QoQ Changes
+8 / -8
new Β· exited
⚠️13F Filing Disclosure

AUM figures shown are calculated by summing the reported market value of all positions in SEC 13F-HR filings β€” not the fund's actual assets under management.

  • Excludes cash, bonds, private equity, short positions, and foreign-listed stocks not required to be reported.
  • For PUT and CALL options, the reported Value is the notional value of the underlying shares β€” not the option premium paid. This significantly overstates the actual capital at risk.
  • Actual fund AUM is typically higher and includes strategies, instruments, and positions that never appear in a 13F.
  • 13F filings cover institutional managers with β‰₯$100M in 13F securities. Positions reflect end-of-quarter holdings, disclosed up to 45 days after the period ends.

Data sourced from SEC EDGAR. This tracker is for informational purposes only and does not constitute investment advice.

Portfolio Holdings

Top 30 positions

⚠️ Performance % calculated from filing date ( 2013-08-13) shown is the underlying stock price movement β€” not the derivative's P&L.
TickerIssuerNotionalPort %@ FilingNow (EOD)Since FilingAllocation
XOMEXXON MOBIL CORP$3.09B2.34%$53.32$137.09+157.1%
2.3%
AAPLAPPLE INC$2.58B1.95%$12.51$308.63+2367.1%
1.9%
MSFTMICROSOFT CORP$2.28B1.73%$27.97$390.49+1296.1%
1.7%
CVXCHEVRON CORP NEW$2.05B1.55%$69.21$169.20+144.5%
1.6%
JNJJOHNSON & JOHNSON$1.86B1.41%$60.50$263.04+334.8%
1.4%
PFEPFIZER INC$1.81B1.37%$15.25$24.32+59.5%
1.4%
GOOGLXXXXGOOGLE INC$1.72B1.31%β€”β€”
1.3%
JPMJPMORGAN CHASE & CO$1.69B1.28%$37.07$334.47+802.3%
1.3%
GEXXXXGENERAL ELECTRIC CO$1.68B1.28%β€”β€”
1.3%
WFCWELLS FARGO & CO NEW$1.54B1.17%$28.83$85.51+196.6%
1.2%
PGPROCTER & GAMBLE CO$1.53B1.16%$53.99$151.41+180.4%
1.2%
TAT&T INC$1.43B1.08%$10.71$20.58+92.2%
1.1%
IBMINTERNATIONAL BUSINESS MACHS$1.36B1.03%$110.46$289.52+162.1%
1.0%
MRKMERCK & CO INC NEW$1.25B0.95%$29.49$129.56+339.3%
0.9%
KOCOCA COLA CO$1.19B0.90%$27.01$84.14+211.5%
0.9%
CCITIGROUP INC$1.12B0.85%$35.54$139.97+293.8%
0.8%
VZVERIZON COMMUNICATIONS INC$1.11B0.84%$25.86$42.56+64.6%
0.8%
CSCOCISCO SYS INC$1.03B0.78%$16.51$112.69+582.6%
0.8%
BACBANK OF AMERICA CORPORATION$1.01B0.77%$10.06$58.73+483.8%
0.8%
SLBSCHLUMBERGER LTD$976.3M0.74%$51.87$45.13-13.0%
0.7%
ORCLORACLE CORP$956.2M0.73%$24.88$140.27+463.8%
0.7%
PEPPEPSICO INC$925.4M0.70%$55.46$144.22+160.0%
0.7%
BRKBBERKSHIRE HATHAWAY INC DEL$906.7M0.69%β€”β€”
0.7%
FCXFREEPORT-MCMORAN COPPER & GO$904.7M0.69%$23.39$60.97+160.7%
0.7%
QCOMQUALCOMM INC$880.4M0.67%$42.79$176.25+311.9%
0.7%
INTCINTEL CORP$879.3M0.67%$17.43$120.35+590.5%
0.7%
MCDMCDONALDS CORP$844.8M0.64%$71.54$280.63+292.3%
0.6%
HDHOME DEPOT INC$840.5M0.64%$56.73$357.90+530.9%
0.6%
PMPHILIP MORRIS INTL INC$825.5M0.63%$46.58$182.27+291.3%
0.6%
DISDISNEY WALT CO$800.4M0.61%$56.35$99.50+76.6%
0.6%

Quarter-on-Quarter Activity

Q2 2013 vs. Q1 2013

New Positions (8)

TickerIssuerNotional
ETNEATON CORP PLC$217.8M
ESVXXXXENSCO PLC$123.3M
RDCROWAN COMPANIES PLC$80.7M
LBL BRANDS INC$79.1M
BTGB2GOLD CORP$38.5M
FOSLFOSSIL GROUP INC$37.6M
BXXXXXBLACKSTONE GROUP L P$26.3M
TMUST-MOBILE US INC$23.0M

Exited Positions (8)

TickerIssuerNotional
HNZHEINZ H J CO$182.1M
VMEDVIRGIN MEDIA INC$86.1M
LBTYALIBERTY GLOBAL INC COM SER$80.9M
CVHCOVENTRY HEALTH CARE INC$77.5M
PXPPLAINS EXPL& PRODTN CO$42.5M
BKFISHARES INC MSCI BRIC$40.0M
LBTYKLIBERTY GLOBAL INC COM SER$38.8M
FOSLXXXXFOSSIL INC$35.3M

Increased (8)

TickerIssuerNotionalShares Ξ”
CXCEMEX SAB DE CV$47.7M+450867600.0%
HOUSREALOGY HLDGS CORP$17.1M+20791.1%
SVUXXXXSUPERVALU INC$2.6M+12318.9%
CLVSQCLOVIS ONCOLOGY INC$4.0M+12015.8%
VNTVVANTIV INC$3.7M+10118.2%
CSODCORNERSTONE ONDEMAND INC$1.4M+6796.4%
TNGOTANGOE INC$0.3M+4457.8%
FETFORUM ENERGY TECHNOLOGIES IN$0.9M+3618.0%

Trimmed (8)

TickerIssuerNotionalShares Ξ”
MKTGRESPONSYS INC$-1.8M-99.9%
MODMODINE MFG CO$-5.4M-99.8%
CGIPQCELADON GROUP INC$-10.1M-99.6%
TSNPUTTYSON FOODS INC$-64.6M-99.6%
ADMPUTARCHER DANIELS MIDLAND CO$-190.2M-99.6%
AIMCALTRA HOLDINGS INC$-10.4M-99.5%
MOSPUTMOSAIC CO NEW$-184.8M-99.5%
PRIMPRIMORIS SVCS CORP$-5.0M-99.4%
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