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STOCK TICKER:

MAJOR GURUS:
David Einhorn
Bill Ackman
Bill Miller
Steven Cohen
Jim Simons

Legal & General Group Plc INSTITUTION : Legal & General Group Plc
Legal & General Group Plc Portfolio (reported on 2019-11-13)
Company (links to holding history) Ticker Value On
2019-09-30
No of Shares % of portfolio
PRUDENTIAL FINL INC    (COM) PRU 239,076,000 2,658,169 0.12%
ROPER TECHNOLOGIES INC    (COM) ROP 237,942,000 667,301 0.12%
DOW INC    (COM) 237,055,000 4,976,041 0.12%
EDISON INTL    (COM) EIX 231,521,000 3,069,661 0.12%
LAM RESEARCH CORP    (COM) LRCX 230,069,000 995,680 0.12%
FEDEX CORP    (COM) FDX 229,929,000 1,579,440 0.12%
PPG INDS INC    (COM) PPG 227,583,000 1,920,632 0.11%
SUNCOR ENERGY INC NEW    (COM) SU 226,430,000 7,173,967 0.11%
NEWMONT GOLDCORP CORPORATION    (COM) NEM 225,362,000 5,941,647 0.11%
BANK MONTREAL QUE    (COM) BMO 224,804,000 3,050,285 0.11%
BAIDU INC    (SPON ADR REP A) BIDU 222,769,000 2,167,871 0.11%
INGERSOLL-RAND PLC    (SHS) IR 222,320,000 1,804,412 0.11%
V F CORP    (COM) VFC 222,083,000 2,495,759 0.11%
CMS ENERGY CORP    (COM) CMS 219,988,000 3,439,749 0.11%
MOTOROLA SOLUTIONS INC    (COM NEW) MSI 216,423,000 1,269,880 0.11%
GENERAL MLS INC    (COM) GIS 213,387,000 3,871,456 0.11%
BOSTON PROPERTIES INC    (COM) BXP 212,171,000 1,636,377 0.11%
BROOKFIELD ASSET MGMT INC    (CL A LTD VT SH) BAM 211,540,000 3,981,398 0.11%
WILLIAMS COS INC DEL    (COM) WMB 209,784,000 8,719,328 0.11%
MOODYS CORP    (COM) MCO 207,623,000 1,013,589 0.10%
AUTODESK INC    (COM) ADSK 204,537,000 1,386,909 0.10%
HCA HEALTHCARE INC    (COM) HCA 204,534,000 1,698,565 0.10%
ELECTRONIC ARTS INC    (COM) ERTS 204,018,000 2,085,972 0.10%
HCP INC    (COM) HCP 202,440,000 5,681,560 0.10%
PAYCHEX INC    (COM) PAYX 200,572,000 2,423,544 0.10%
HP INC    (COM) HPQ 197,010,000 10,413,094 0.10%
MCKESSON CORP    (COM) MCK 192,779,000 1,410,639 0.10%
ZIMMER BIOMET HLDGS INC    (COM) ZMH 192,457,000 1,402,389 0.10%
AMPHENOL CORP NEW    (CL A) APH 192,075,000 1,990,680 0.10%
PRICE T ROWE GROUP INC    (COM) TROW 191,892,000 1,679,671 0.10%
O REILLY AUTOMOTIVE INC NEW    (COM) ORLY 191,746,000 481,171 0.10%
CUMMINS INC    (COM) CMI 191,091,000 1,174,812 0.10%
AUTOZONE INC    (COM) AZO 191,033,000 176,117 0.10%
EVERGY INC    (COM) 190,154,000 2,856,595 0.10%
T MOBILE US INC    (COM) TMUS 190,076,000 2,413,446 0.10%
DOLLAR TREE INC    (COM) DLTR 188,384,000 1,650,129 0.09%
CANADIAN PAC RY LTD    (COM) CP 187,013,000 841,012 0.09%
HARTFORD FINL SVCS GROUP INC    (COM) HIG 186,318,000 3,074,232 0.09%
SUNTRUST BKS INC    (COM) STI 186,264,000 2,707,497 0.09%
IHS MARKIT LTD    (SHS) 185,880,000 2,779,427 0.09%
MARRIOTT INTL INC NEW    (CL A) MAR 185,037,000 1,487,783 0.09%
ALEXANDRIA REAL ESTATE EQ IN    (COM) ARE 184,870,000 1,200,162 0.09%
KLA CORPORATION    (COM NEW) KLAC 183,401,000 1,150,388 0.09%
ATMOS ENERGY CORP    (COM) ATO 181,477,000 1,593,390 0.09%
HERSHEY CO    (COM) HSY 181,339,000 1,170,134 0.09%
AGILENT TECHNOLOGIES INC    (COM) A 180,852,000 2,360,264 0.09%
WILLIS TOWERS WATSON PUB LTD    (SHS) WLTW 179,036,000 927,683 0.09%
XILINX INC    (COM) XLNX 178,524,000 1,864,251 0.09%
ARCHER DANIELS MIDLAND CO    (COM) ADM 178,176,000 4,338,133 0.09%
CDN IMPERIAL BK COMM TORONTO    (COM) CM 174,917,000 2,118,701 0.09%
TWITTER INC    (COM) TWTR 173,670,000 4,215,157 0.09%
IQVIA HLDGS INC    (COM) 173,504,000 1,161,575 0.09%
W P CAREY INC    (COM) WPC 172,796,000 1,930,420 0.09%
LYONDELLBASELL INDUSTRIES N    (SHS - A -) LALLF 171,626,000 1,918,456 0.09%
MID AMER APT CMNTYS INC    (COM) MAA 171,336,000 1,317,696 0.09%
VERISK ANALYTICS INC    (COM) VRSK 171,228,000 1,082,863 0.09%
TESLA INC    (COM) TSLA 170,670,000 708,543 0.08%
ADVANCED MICRO DEVICES INC    (COM) AMD 169,828,000 5,858,801 0.08%
CONSTELLATION BRANDS INC    (CL A) STZ 169,261,000 816,597 0.08%
REPUBLIC SVCS INC    (COM) RSG 168,963,000 1,952,502 0.08%
SYNCHRONY FINL    (COM) SYF 168,944,000 4,963,550 0.08%
MANULIFE FINL CORP    (COM) MFC 168,098,000 9,159,142 0.08%
SYNOPSYS INC    (COM) SNPS 167,508,000 1,220,593 0.08%
JD COM INC    (SPON ADR CL A) JD 166,256,000 5,893,519 0.08%
CINTAS CORP    (COM) CTAS 165,632,000 617,797 0.08%
CORNING INC    (COM) GLW 163,773,000 5,743,043 0.08%
NETEASE INC    (SPONSORED ADS) NTES 163,268,000 613,375 0.08%
KROGER CO    (COM) KR 162,238,000 6,293,543 0.08%
HEWLETT PACKARD ENTERPRISE C    (COM) HPE 162,168,000 10,693,445 0.08%
DISCOVER FINL SVCS    (COM) DFS 161,801,000 1,995,364 0.08%
VERISIGN INC    (COM) VRSN 161,495,000 860,208 0.08%
CLOROX CO DEL    (COM) CLX 158,576,000 1,044,172 0.08%
PACCAR INC    (COM) PCAR 158,382,000 2,262,375 0.08%
BARRICK GOLD CORPORATION    (COM) ABX 153,261,000 8,826,423 0.08%
HILTON WORLDWIDE HLDGS INC    (COM) 152,795,000 1,641,116 0.08%
TYSON FOODS INC    (CL A) TSN 152,194,000 1,766,957 0.08%
ROCKWELL AUTOMATION INC    (COM) ROK 151,994,000 926,993 0.08%
BALL CORP    (COM) BLL 151,951,000 2,086,773 0.08%
TRANSDIGM GROUP INC    (COM) TDG 150,976,000 289,959 0.07%
MONSTER BEVERAGE CORP NEW    (COM) MNST 150,875,000 2,598,462 0.07%
STANLEY BLACK & DECKER INC    (COM) SWK 150,867,000 1,044,835 0.07%
EXTRA SPACE STORAGE INC    (COM) EXR 150,146,000 1,285,171 0.07%
ALLIANT ENERGY CORP    (COM) LNT 150,033,000 2,781,584 0.07%
UDR INC    (COM) UDR 148,135,000 3,055,577 0.07%
IDEXX LABS INC    (COM) IDXX 148,106,000 544,558 0.07%
PARKER HANNIFIN CORP    (COM) PH 148,094,000 820,019 0.07%
PINNACLE WEST CAP CORP    (COM) PNW 148,092,000 1,525,412 0.07%
CADENCE DESIGN SYSTEM INC    (COM) CDNS 147,491,000 2,235,881 0.07%
FLEETCOR TECHNOLOGIES INC    (COM) FLT 147,471,000 514,219 0.07%
ANSYS INC    (COM) ANSS 146,525,000 662,034 0.07%
CERNER CORP    (COM) CERN 146,497,000 2,148,871 0.07%
STATE STR CORP    (COM) STT 145,681,000 2,461,623 0.07%
M & T BK CORP    (COM) MTB 143,897,000 910,939 0.07%
HOST HOTELS & RESORTS INC    (COM) HST 143,469,000 8,298,549 0.07%
CENTERPOINT ENERGY INC    (COM) CNP 143,043,000 4,740,174 0.07%
FORTIVE CORP    (COM) FTV 142,836,000 2,083,453 0.07%
WORKDAY INC    (CL A) WDAY 141,582,000 833,001 0.07%
AKAMAI TECHNOLOGIES INC    (COM) AKAM 140,542,000 1,543,252 0.07%
YUM CHINA HLDGS INC    (COM) 140,208,000 3,086,253 0.07%
REGENERON PHARMACEUTICALS    (COM) REGN 139,021,000 501,186 0.07%
CHIPOTLE MEXICAN GRILL INC    (COM) CMG 138,415,000 164,748 0.07%
CANADIAN NAT RES LTD    (COM) CNQ 137,944,000 5,181,304 0.07%
DUKE REALTY CORP    (COM NEW) DRE 137,545,000 4,048,892 0.07%
CINCINNATI FINL CORP    (COM) CINF 137,044,000 1,174,793 0.07%
MICROCHIP TECHNOLOGY INC    (COM) MCHP 136,904,000 1,475,910 0.07%
WEYERHAEUSER CO    (COM) WY 136,798,000 4,937,968 0.07%
CHURCH & DWIGHT INC    (COM) CHD 135,598,000 1,802,010 0.07%
CDW CORP    (COM) CDW 135,061,000 1,095,972 0.07%
BEST BUY INC    (COM) BBY 134,520,000 1,950,191 0.07%
D R HORTON INC    (COM) DHI 134,520,000 2,552,324 0.07%
FASTENAL CO    (COM) FAST 133,299,000 4,081,085 0.07%
RESMED INC    (COM) RMD 132,578,000 981,271 0.06%
AMETEK INC NEW    (COM) AME 132,326,000 1,441,450 0.06%
FIFTH THIRD BANCORP    (COM) FITB 132,026,000 4,821,963 0.06%
LULULEMON ATHLETICA INC    (COM) LULU 131,616,000 683,718 0.06%
COSTAR GROUP INC    (COM) CSGP 131,171,000 221,233 0.06%
KRAFT HEINZ CO    (COM) KHC 130,612,000 4,676,919 0.06%
NISOURCE INC    (COM) NI 130,577,000 4,363,787 0.06%
WESTERN DIGITAL CORP    (COM) WDC 130,000,000 2,180,511 0.06%
CHECK POINT SOFTWARE TECH LT    (ORD) CHKP 129,407,000 1,184,989 0.06%
SUN LIFE FINL INC    (COM) SLF 129,240,000 2,888,543 0.06%
CARNIVAL CORP    (UNIT 99/99/9999) CCL 128,959,000 2,950,505 0.06%
LABORATORY CORP AMER HLDGS    (COM NEW) LH 127,687,000 760,097 0.06%
PALO ALTO NETWORKS INC    (COM) PANW 127,286,000 623,533 0.06%
SHOPIFY INC    (CL A) 125,634,000 403,412 0.06%
NUTRIEN LTD    (COM) 125,142,000 2,510,464 0.06%
ALEXION PHARMACEUTICALS INC    (COM) ALXN 125,063,000 1,276,910 0.06%
VORNADO RLTY TR    (SH BEN INT) VNO 125,061,000 1,964,242 0.06%
QUEST DIAGNOSTICS INC    (COM) DGX 124,775,000 1,166,050 0.06%
ARCH CAP GROUP LTD    (ORD) ACGL 124,316,000 2,960,919 0.06%
CBRE GROUP INC    (CL A) CBG 124,115,000 2,341,129 0.06%
MCCORMICK & CO INC    (COM NON VTG) MKC 123,835,000 792,264 0.06%
PEMBINA PIPELINE CORP    (COM) PBNPF 123,000,000 3,316,126 0.06%
VULCAN MATLS CO    (COM) VMC 122,783,000 811,880 0.06%
CORTEVA INC    (COM) 122,292,000 4,367,431 0.06%
MERCADOLIBRE INC    (COM) MELI 121,826,000 221,156 0.06%
PIONEER NAT RES CO    (COM) PXD 120,653,000 959,337 0.06%
OMNICOM GROUP INC    (COM) OMC 120,037,000 1,533,080 0.06%
AMERIPRISE FINL INC    (COM) AMP 119,961,000 815,601 0.06%
LOEWS CORP    (COM) LTR 119,725,000 2,325,530 0.06%
MARKEL CORP    (COM) MKL 119,170,000 100,831 0.06%
MSCI INC    (COM) MXB 118,907,000 546,041 0.06%
REGENCY CTRS CORP    (COM) REG 118,804,000 1,709,837 0.06%
INVITATION HOMES INC    (COM) 118,803,000 4,012,281 0.06%
ROYAL CARIBBEAN CRUISES LTD    (COM) RCL 118,566,000 1,094,583 0.06%
GALLAGHER ARTHUR J & CO    (COM) AJG 118,539,000 1,323,665 0.06%
INTL PAPER CO    (COM) IP 118,338,000 2,829,942 0.06%
MAXIM INTEGRATED PRODS INC    (COM) MXIM 118,093,000 2,040,096 0.06%
METTLER TOLEDO INTERNATIONAL    (COM) MTD 117,903,000 167,389 0.06%
EXPEDIA GROUP INC    (COM NEW) EXPE 117,875,000 877,126 0.06%
KEYSIGHT TECHNOLOGIES INC    (COM) KEYS 117,809,000 1,211,409 0.06%
NUCOR CORP    (COM) NUE 117,559,000 2,309,848 0.06%
HESS CORP    (COM) HES 117,545,000 1,944,080 0.06%
SYMANTEC CORP    (COM) SYMC 117,146,000 4,974,152 0.06%
SPLUNK INC    (COM) SPLK 116,969,000 996,364 0.06%
IAC INTERACTIVECORP    (COM) IACI 115,914,000 531,661 0.06%
GENUINE PARTS CO    (COM) GPC 115,857,000 1,163,436 0.06%
NEW ORIENTAL ED & TECH GRP I    (SPON ADR) EDU 115,807,000 1,045,570 0.06%
LAS VEGAS SANDS CORP    (COM) LVS 115,613,000 2,001,816 0.06%
WASTE CONNECTIONS INC    (COM) 115,603,000 1,257,136 0.06%
DOVER CORP    (COM) DOV 115,451,000 1,159,587 0.06%
FEDERAL REALTY INVT TR    (SH BEN INT NEW) FRT 115,244,000 846,518 0.06%
CGI INC    (CL A SUB VTG) 115,177,000 1,455,706 0.06%
BROWN FORMAN CORP    (CL B) BF/B 113,251,000 1,804,242 0.05%
HASBRO INC    (COM) HAS 113,113,000 952,945 0.05%
NORTHERN TR CORP    (COM) NTRS 112,810,000 1,208,914 0.05%
EXPEDITORS INTL WASH INC    (COM) EXPD 111,752,000 1,504,582 0.05%
CENTENE CORP DEL    (COM) CNC 111,365,000 2,574,337 0.05%
XYLEM INC    (COM) XYL 110,864,000 1,392,468 0.05%
BLACKSTONE GROUP INC    (COM CL A) 110,634,000 2,265,464 0.05%
KELLOGG CO    (COM) K 110,353,000 1,714,975 0.05%
KKR & CO INC    (CL A) 109,784,000 4,088,917 0.05%
CONAGRA BRANDS INC    (COM) CAG 109,718,000 3,577,224 0.05%
DARDEN RESTAURANTS INC    (COM) DRI 109,183,000 923,588 0.05%
CARDINAL HEALTH INC    (COM) CAH 109,086,000 2,311,742 0.05%
COOPER COS INC    (COM NEW) COO 109,083,000 367,286 0.05%
MARVELL TECHNOLOGY GROUP LTD    (ORD) MRVL 108,825,000 4,360,453 0.05%
KEYCORP NEW    (COM) KEY 108,313,000 6,072,003 0.05%
HALLIBURTON CO    (COM) HAL 108,145,000 5,737,224 0.05%
SMUCKER J M CO    (COM NEW) SJM 107,903,000 980,964 0.05%
VEEVA SYS INC    (CL A COM) VEEV 107,786,000 705,880 0.05%
GRAINGER W W INC    (COM) GWW 106,538,000 358,711 0.05%
CITIZENS FINL GROUP INC    (COM) CFG 105,631,000 2,986,578 0.05%
SQUARE INC    (CL A) 105,602,000 1,704,658 0.05%
CELANESE CORP DEL    (COM) CE 105,407,000 861,986 0.05%
WATERS CORP    (COM) WAT 105,061,000 470,610 0.05%
VEREIT INC    (COM) 104,968,000 10,732,987 0.05%
ANNALY CAP MGMT INC    (COM) NLY 104,663,000 11,897,916 0.05%
UNIVERSAL HLTH SVCS INC    (CL B) UHS 104,556,000 703,151 0.05%
SUN CMNTYS INC    (COM) SUI 104,454,000 703,611 0.05%
KANSAS CITY SOUTHERN    (COM NEW) KSU 103,516,000 778,277 0.05%
COCA COLA EUROPEAN PARTNERS    (SHS) 103,484,000 1,866,259 0.05%
REGIONS FINL CORP NEW    (COM) RF 103,371,000 6,533,573 0.05%
MARTIN MARIETTA MATLS INC    (COM) MLM 102,432,000 373,724 0.05%
COPART INC    (COM) CPRT 101,971,000 1,269,456 0.05%
FIDELITY NATIONAL FINANCIAL    (FNF GROUP COM) FNF 101,097,000 2,276,330 0.05%
CREDICORP LTD    (COM) BAP 101,097,000 485,004 0.05%
HOLOGIC INC    (COM) HOLX 100,970,000 2,000,042 0.05%
MAGNA INTL INC    (COM) MGA 100,307,000 1,880,620 0.05%
BROADRIDGE FINL SOLUTIONS IN    (COM) BR 100,133,000 804,689 0.05%
< Prev 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 Next >Full Portfolio View
Total Value As 2019-09-30: 189,667,174,000 SEC FILING
* Portfolios do not reflect changes after reporting
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