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STOCK TICKER:

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

Chevy Chase Trust Holdings, Inc. INSTITUTION : Chevy Chase Trust Holdings, Inc.
Chevy Chase Trust Holdings, Inc. Portfolio (reported on 2020-05-13)
Company (links to holding history) Ticker Value On
2020-03-31
No of Shares % of portfolio
MICROSOFT CORP    (COM) MSFT 1,199,633,000 7,606,577 5.58%
APPLE INC    (COM) AAPL 1,067,201,000 4,196,785 4.96%
AMAZON COM INC    (COM) AMZN 807,130,000 413,973 3.75%
ALPHABET INC    (CAP STK CL C) GOOG 366,629,000 315,290 1.70%
ALPHABET INC    (CAP STK CL A) GOOGL 360,934,000 310,628 1.67%
BERKSHIRE HATHAWAY INC DEL    (CL B NEW) BRK/B 355,939,000 1,946,835 1.65%
FACEBOOK INC    (CL A) FB 342,616,000 2,054,051 1.59%
VISA INC    (COM CL A) V 336,467,000 2,088,301 1.56%
JOHNSON & JOHNSON    (COM) JNJ 330,176,000 2,517,933 1.53%
VERIZON COMMUNICATIONS INC    (COM) VZ 286,774,000 5,337,307 1.33%
JPMORGAN CHASE & CO    (COM) JPM 246,624,000 2,739,332 1.14%
NVIDIA CORP    (COM) NVDA 242,704,000 920,727 1.12%
PROCTER & GAMBLE CO    (COM) PG 240,620,000 2,187,460 1.11%
UNITEDHEALTH GROUP INC    (COM) UNH 232,366,000 931,768 1.08%
DISNEY WALT CO    (COM DISNEY) DIS 222,911,000 2,307,571 1.03%
NEXTERA ENERGY INC    (COM) NEE 217,835,000 905,310 1.01%
INTEL CORP    (COM) INTC 209,167,000 3,864,850 0.97%
PEPSICO INC    (COM) PEP 197,682,000 1,645,976 0.91%
MASTERCARD INC    (CL A) MA 191,224,000 791,622 0.88%
AT&T INC    (COM) T 184,565,000 6,331,581 0.85%
HOME DEPOT INC    (COM) HD 177,104,000 948,545 0.82%
MERCK & CO INC    (COM) MRK 176,069,000 2,288,390 0.81%
PFIZER INC    (COM) PFE 158,639,000 4,860,289 0.73%
COCA COLA CO    (COM) KO 153,589,000 3,470,895 0.71%
BANK AMER CORP    (COM) BAC 147,735,000 6,958,740 0.68%
NIKE INC    (CL B) NKE 146,123,000 1,766,051 0.68%
CISCO SYS INC    (COM) CSCO 144,372,000 3,672,658 0.67%
EXXON MOBIL CORP    (COM) XOM 142,807,000 3,761,073 0.66%
NETFLIX INC    (COM) NFLX 140,759,000 374,857 0.65%
WALMART INC    (COM) WMT 138,633,000 1,220,146 0.64%
ILLUMINA INC    (COM) ILMN 134,212,000 491,409 0.62%
COMCAST CORP NEW    (CL A) CMCSA 133,780,000 3,891,221 0.62%
ADOBE INC    (COM) ADBE 133,048,000 418,074 0.61%
CITIGROUP INC    (COM NEW) C 126,327,000 2,999,209 0.58%
COSTCO WHSL CORP NEW    (COM) COST 123,969,000 434,779 0.57%
ABBOTT LABS    (COM) ABT 123,156,000 1,560,704 0.57%
ISHARES TR    (CORE S&P500 ETF) IVV 120,880,000 467,806 0.56%
ACCENTURE PLC IRELAND    (SHS CLASS A) ACN 119,021,000 729,025 0.55%
CHEVRON CORP NEW    (COM) CVX 118,877,000 1,640,582 0.55%
LOCKHEED MARTIN CORP    (COM) LMT 114,265,000 337,114 0.53%
BRISTOL MYERS SQUIBB CO    (COM) BMY 113,918,000 2,043,741 0.53%
MCDONALDS CORP    (COM) MCD 110,164,000 666,250 0.51%
CME GROUP INC    (COM) CME 109,437,000 632,909 0.50%
SALESFORCE COM INC    (COM) CRM 108,852,000 756,024 0.50%
LILLY ELI & CO    (COM) LLY 105,436,000 760,066 0.49%
AMGEN INC    (COM) AMGN 105,053,000 518,189 0.48%
INTUITIVE SURGICAL INC    (COM NEW) ISRG 103,538,000 209,082 0.48%
MEDTRONIC PLC    (SHS) MDT 102,891,000 1,140,953 0.47%
ABBVIE INC    (COM) ABBV 101,335,000 1,330,021 0.47%
PAYPAL HLDGS INC    (COM) PYPL 100,177,000 1,046,337 0.46%
LAUDER ESTEE COS INC    (CL A) EL 98,543,000 618,453 0.45%
THERMO FISHER SCIENTIFIC INC    (COM) TMO 97,566,000 344,025 0.45%
PHILIP MORRIS INTL INC    (COM) PM 97,125,000 1,331,211 0.45%
DANAHER CORPORATION    (COM) DHR 96,839,000 699,646 0.45%
ECOLAB INC    (COM) ECL 94,957,000 609,364 0.44%
CVS HEALTH CORP    (COM) CVS 94,535,000 1,593,375 0.43%
WELLS FARGO CO NEW    (COM) WFC 94,490,000 3,292,323 0.43%
ROPER TECHNOLOGIES INC    (COM) ROP 92,677,000 297,223 0.43%
ORACLE CORP    (COM) ORCL 91,670,000 1,896,769 0.42%
TJX COS INC NEW    (COM) TJX 90,523,000 1,893,365 0.42%
GOLDMAN SACHS GROUP INC    (COM) GS 87,369,000 565,159 0.40%
UNION PACIFIC CORP    (COM) UNP 85,694,000 607,585 0.39%
INTERNATIONAL BUSINESS MACHS    (COM) IBM 84,985,000 766,103 0.39%
MSCI INC    (COM) MXB 82,709,000 286,232 0.38%
HONEYWELL INTL INC    (COM) HON 82,347,000 615,501 0.38%
AMERICAN TOWER CORP NEW    (COM) AMT 82,248,000 377,720 0.38%
GILEAD SCIENCES INC    (COM) GILD 80,539,000 1,077,284 0.37%
BROADCOM INC    (COM) 80,423,000 339,195 0.37%
TEXAS INSTRS INC    (COM) TXN 79,927,000 799,824 0.37%
LINDE PLC    (SHS) 79,397,000 458,940 0.36%
3M CO    (COM) MMM 78,514,000 575,157 0.36%
TELADOC HEALTH INC    (COM) 78,409,000 505,831 0.36%
TERRENO RLTY CORP    (COM) TRNO 76,103,000 1,470,594 0.35%
STARBUCKS CORP    (COM) SBUX 70,851,000 1,077,763 0.32%
NOVARTIS A G    (SPONSORED ADR) NVS 70,013,000 849,144 0.32%
BOEING CO    (COM) BA 68,545,000 459,601 0.31%
QUALCOMM INC    (COM) QCOM 66,126,000 977,469 0.30%
FIDELITY NATL INFORMATION SV    (COM) FIS 64,118,000 527,114 0.29%
ISHARES GOLD TRUST    (ISHARES) IAU 62,813,000 4,168,080 0.29%
MONDELEZ INTL INC    (CL A) MDLZ 62,436,000 1,246,724 0.29%
BECTON DICKINSON & CO    (COM) BDX 62,403,000 271,588 0.29%
ALTRIA GROUP INC    (COM) MO 62,388,000 1,613,335 0.29%
AMERICAN ELEC PWR CO INC    (COM) AEP 60,571,000 757,345 0.28%
GENERAL ELECTRIC CO    (COM) GE 59,892,000 7,542,941 0.27%
CHARTER COMMUNICATIONS INC N    (CL A) CHTR 58,516,000 134,115 0.27%
AUTOMATIC DATA PROCESSING IN    (COM) ADP 57,063,000 417,483 0.26%
LOWES COS INC    (COM) LOW 56,573,000 657,442 0.26%
CIGNA CORP NEW    (COM) 56,482,000 318,780 0.26%
UNITED PARCEL SERVICE INC    (CL B) UPS 56,010,000 599,546 0.26%
CATERPILLAR INC DEL    (COM) CAT 55,425,000 477,640 0.25%
TARGET CORP    (COM) TGT 55,114,000 592,818 0.25%
VERTEX PHARMACEUTICALS INC    (COM) VRTX 54,431,000 228,751 0.25%
INTUIT    (COM) INTU 51,327,000 223,160 0.23%
DOMINION ENERGY INC    (COM) D 51,195,000 709,185 0.23%
CROWN CASTLE INTL CORP NEW    (COM) CCI 51,059,000 353,592 0.23%
S&P GLOBAL INC    (COM) SPGI 51,039,000 208,278 0.23%
DUKE ENERGY CORP NEW    (COM NEW) DUK 50,594,000 625,543 0.23%
PROLOGIS INC    (COM) PLD 50,514,000 628,513 0.23%
SPLUNK INC    (COM) SPLK 50,029,000 396,336 0.23%
AMERICAN EXPRESS CO    (COM) AXP 49,861,000 582,424 0.23%
STRYKER CORP    (COM) SYK 49,728,000 298,687 0.23%
ALLERGAN PLC    (SHS) AGN 49,472,000 279,347 0.23%
COLGATE PALMOLIVE CO    (COM) CL 49,399,000 744,417 0.22%
ANTHEM INC    (COM) ANTM 48,995,000 215,803 0.22%
BIOGEN INC    (COM) BIIB 48,900,000 154,563 0.22%
ZOETIS INC    (CL A) ZTS 48,622,000 413,138 0.22%
SOUTHERN CO    (COM) SO 48,620,000 898,044 0.22%
BOOKING HLDGS INC    (COM) 48,080,000 35,738 0.22%
BLACKROCK INC    (COM) BLK 46,912,000 106,625 0.21%
COGNEX CORP    (COM) CGNX 46,780,000 1,107,997 0.21%
FISERV INC    (COM) FISV 46,614,000 490,716 0.21%
UNILEVER N V    (N Y SHS NEW) UN 46,084,000 944,553 0.21%
SERVICENOW INC    (COM) NOW 45,949,000 160,336 0.21%
EQUINIX INC    (COM) EQIX 45,282,000 72,502 0.21%
ADVANCED MICRO DEVICES INC    (COM) AMD 45,215,000 994,168 0.21%
SPDR S&P 500 ETF TR    (TR UNIT) SPY 43,775,000 169,831 0.20%
CHUBB LIMITED    (COM) CB 43,537,000 389,810 0.20%
US BANCORP DEL    (COM NEW) USB 43,364,000 1,258,798 0.20%
FLIR SYS INC    (COM) FLIR 42,884,000 1,344,747 0.19%
MICRON TECHNOLOGY INC    (COM) MU 41,898,000 996,142 0.19%
REGENERON PHARMACEUTICALS    (COM) REGN 41,700,000 85,403 0.19%
NORTHROP GRUMMAN CORP    (COM) NOC 41,169,000 136,075 0.19%
ROYAL DUTCH SHELL PLC    (SPON ADR B) RDS-B 41,043,000 1,256,636 0.19%
PROGRESSIVE CORP OHIO    (COM) PGR 39,967,000 541,264 0.18%
ACTIVISION BLIZZARD INC    (COM) ATVI 39,000,000 655,678 0.18%
CSX CORP    (COM) CSX 38,931,000 679,426 0.18%
KIMBERLY CLARK CORP    (COM) KMB 38,793,000 303,380 0.18%
APPLIED MATLS INC    (COM) AMAT 38,670,000 843,970 0.17%
BOSTON SCIENTIFIC CORP    (COM) BSX 38,665,000 1,184,961 0.17%
INTERCONTINENTAL EXCHANGE IN    (COM) ICE 38,266,000 473,883 0.17%
AIR PRODS & CHEMS INC    (COM) APD 38,100,000 190,871 0.17%
TRUIST FINL CORP    (COM) 37,632,000 1,220,218 0.17%
THE CHARLES SCHWAB CORPORATI    (COM) SCHW 37,407,000 1,112,668 0.17%
DEERE & CO    (COM) DE 37,301,000 269,979 0.17%
PNC FINL SVCS GROUP INC    (COM) PNC 37,292,000 389,595 0.17%
MARSH & MCLENNAN COS INC    (COM) MMC 37,213,000 430,406 0.17%
GLOBAL PMTS INC    (COM) GPN 36,893,000 255,793 0.17%
ILLINOIS TOOL WKS INC    (COM) ITW 35,890,000 252,532 0.16%
HUMANA INC    (COM) HUM 35,736,000 113,798 0.16%
BAXTER INTL INC    (COM) BAX 35,514,000 437,421 0.16%
NORFOLK SOUTHERN CORP    (COM) NSC 34,811,000 238,433 0.16%
EDWARDS LIFESCIENCES CORP    (COM) EW 34,129,000 180,939 0.15%
L3HARRIS TECHNOLOGIES INC    (COM) 34,078,000 189,194 0.15%
MORGAN STANLEY    (COM NEW) MS 33,882,000 996,535 0.15%
NASDAQ INC    (COM) NDAQ 33,475,000 352,555 0.15%
NEWMONT GOLDCORP CORPORATION    (COM) NEM 32,776,000 723,852 0.15%
DOLLAR GEN CORP NEW    (COM) DG 32,682,000 216,423 0.15%
CRYOPORT INC    (COM PAR $0.001) 32,351,000 1,895,151 0.15%
SHERWIN WILLIAMS CO    (COM) SHW 32,159,000 69,982 0.14%
WALGREENS BOOTS ALLIANCE INC    (COM) WBA 31,511,000 688,771 0.14%
RAYTHEON CO    (COM NEW) RTN 31,448,000 239,790 0.14%
MOODYS CORP    (COM) MCO 31,433,000 148,620 0.14%
DIGITAL RLTY TR INC    (COM) DLR 31,133,000 224,123 0.14%
WASTE MGMT INC DEL    (COM) WMI 30,961,000 334,510 0.14%
EXELON CORP    (COM) EXC 30,600,000 831,289 0.14%
LAM RESEARCH CORP    (COM) LRCX 29,772,000 124,049 0.13%
CENTENE CORP DEL    (COM) CNC 29,484,000 496,268 0.13%
AUTODESK INC    (COM) ADSK 29,378,000 188,196 0.13%
SCHLUMBERGER LTD    (COM) SLB 28,961,000 2,146,852 0.13%
CONOCOPHILLIPS    (COM) COP 28,937,000 939,498 0.13%
GENERAL MLS INC    (COM) GIS 28,179,000 533,986 0.13%
ANALOG DEVICES INC    (COM) ADI 28,069,000 313,099 0.13%
EATON CORP PLC    (SHS) ETN 27,367,000 352,261 0.12%
SEMPRA ENERGY    (COM) SRE 27,079,000 239,654 0.12%
XCEL ENERGY INC    (COM) XEL 27,049,000 448,583 0.12%
FEDEX CORP    (COM) FDX 26,798,000 220,992 0.12%
ROSS STORES INC    (COM) ROST 26,793,000 308,064 0.12%
GENERAL DYNAMICS CORP    (COM) GD 26,594,000 200,993 0.12%
PUBLIC STORAGE    (COM) PSA 26,210,000 131,970 0.12%
FORTIVE CORP    (COM) FTV 25,923,000 469,738 0.12%
SBA COMMUNICATIONS CORP NEW    (CL A) 25,841,000 95,717 0.12%
ALLSTATE CORP    (COM) ALL 25,441,000 277,360 0.11%
EMERSON ELEC CO    (COM) EMR 25,322,000 531,407 0.11%
GUARDANT HEALTH INC    (COM) 25,267,000 363,033 0.11%
ELECTRONIC ARTS INC    (COM) ERTS 25,114,000 250,712 0.11%
DELTA AIR LINES INC DEL    (COM NEW) DAL 24,910,000 873,064 0.11%
T MOBILE US INC    (COM) TMUS 24,881,000 296,563 0.11%
BANK NEW YORK MELLON CORP    (COM) BK 24,571,000 729,517 0.11%
WEC ENERGY GROUP INC    (COM) 23,912,000 271,330 0.11%
KINDER MORGAN INC DEL    (COM) KMI 23,052,000 1,656,033 0.10%
EOG RES INC    (COM) EOG 22,729,000 632,734 0.10%
FIRSTENERGY CORP    (COM) FE 22,632,000 564,810 0.10%
GENERAL MTRS CO    (COM) GM 22,270,000 1,071,697 0.10%
TRAVELERS COMPANIES INC    (COM) TRV 22,181,000 223,262 0.10%
CONSOLIDATED EDISON INC    (COM) ED 22,166,000 284,161 0.10%
AFLAC INC    (COM) AFL 21,992,000 642,273 0.10%
HP INC    (COM) HPQ 21,953,000 1,264,558 0.10%
DUPONT DE NEMOURS INC    (COM) 21,822,000 639,967 0.10%
COGNIZANT TECHNOLOGY SOLUTIO    (CL A) CTSH 21,630,000 465,462 0.10%
EVERSOURCE ENERGY    (COM) ES 21,594,000 276,107 0.10%
IMPINJ INC    (COM) 21,112,000 1,263,453 0.09%
CONSTELLATION BRANDS INC    (CL A) STZ 20,762,000 144,821 0.09%
METLIFE INC    (COM) MET 20,570,000 672,854 0.09%
PHILLIPS 66    (COM) PSX 20,535,000 382,778 0.09%
KROGER CO    (COM) KR 20,535,000 681,745 0.09%
IHS MARKIT LTD    (SHS) 20,458,000 340,962 0.09%
EDITAS MEDICINE INC    (COM) 20,427,000 1,030,116 0.09%
PRICE T ROWE GROUP INC    (COM) TROW 20,283,000 207,715 0.09%
CAPITAL ONE FINL CORP    (COM) COF 20,260,000 401,817 0.09%
HCA HEALTHCARE INC    (COM) HCA 20,206,000 224,888 0.09%
1 2 3 4 Next >Full Portfolio View
Total Value As 2020-03-31: 21,487,189,000 SEC FILING
* Portfolios do not reflect changes after reporting
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