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STOCK TICKER:

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

COMMONWEALTH BANK OF AUSTRALIA INSTITUTION : COMMONWEALTH BANK OF AUSTRALIA
COMMONWEALTH BANK OF AUSTRALIA Portfolio (reported on 2019-08-13)
Company (links to holding history) Ticker Value On
2019-06-30
No of Shares % of portfolio
Nextera Energy Inc    (COM) NEE 438,624,000 2,141,172 4.24%
Dominion Energy Inc    (COM) D 432,977,000 5,599,995 4.19%
TC Energy Corp    (COM) 327,756,000 6,608,944 3.17%
Expeditors International of Washington Inc    (COM) EXPD 326,048,000 4,298,296 3.15%
Williams Companies Inc    (COM) WMB 292,812,000 10,443,311 2.83%
American Electric Power Company Inc    (COM) AEP 281,671,000 3,200,635 2.72%
SBA Communications Corp    (CL A) 272,833,000 1,213,512 2.64%
Union Pacific Corp    (COM) UNP 257,519,000 1,522,877 2.49%
Crown Castle International Corp    (COM) CCI 251,549,000 1,929,870 2.43%
Evergy Inc    (COM) 246,616,000 4,100,212 2.38%
CenterPoint Energy Inc    (COM) CNP 209,268,000 7,309,813 2.02%
Eversource Energy    (COM) ES 195,969,000 2,586,871 1.89%
Cognizant Technology Solutions Corp    (CL A) CTSH 182,229,000 2,874,945 1.76%
UGI Corp    (COM) UGI 179,647,000 3,363,792 1.74%
Ctrip.Com International Ltd    (SPONSORED ADS) CTRP 171,266,000 4,640,265 1.65%
Alliant Energy Corp    (COM) LNT 167,979,000 3,422,863 1.62%
Kinder Morgan Inc    (COM) KMI 163,943,000 7,852,343 1.58%
KT Corp    (SPONSORED ADR) KTC 162,632,000 13,147,688 1.57%
American Tower Corp    (COM) AMT 162,206,000 793,452 1.57%
NiSource Inc    (COM) NI 156,558,000 5,436,575 1.51%
Cerner Corp    (COM) CERN 143,860,000 1,962,835 1.39%
Fomento Economico Mexicano SAB de CV    (SPON ADR UNITS) FMX 128,135,000 1,324,490 1.24%
Magellan Midstream Partners LP    (COM UNIT RP LP) MMP 110,015,000 1,719,106 1.06%
51job Inc    (SPONSORED ADS) JOBS 104,982,000 1,390,547 1.01%
Colgate-Palmolive Co    (COM) CL 101,496,000 1,416,314 0.98%
Apple Inc    (COM) AAPL 100,163,000 506,103 0.97%
Baidu Inc    (SPON ADR REP A) BIDU 97,346,000 829,525 0.94%
Enbridge Inc    (COM) ENB 84,009,000 2,325,341 0.81%
Enterprise Products Partners LP    (COM) EPD 82,134,000 2,845,253 0.79%
HDFC Bank Ltd    (SPONSORED ADS) HDB 76,724,000 590,045 0.74%
Walmart Inc    (COM) WMT 67,614,000 611,996 0.65%
Microsoft Corp    (COM) MSFT 61,938,000 462,407 0.60%
Exxon Mobil Corp    (COM) XOM 61,678,000 804,961 0.59%
Dr.Reddy's Laboratories Ltd    (ADR) RDY 60,115,000 1,604,406 0.58%
Cheniere Energy Inc    (COM NEW) LNG 59,972,000 876,360 0.58%
A. O. Smith Corp    (COM) AOS 59,933,000 1,270,981 0.58%
Banco Santander Mexico SA Institucion de Banca Multiple Grupo Financiero Santand    (SPONSORED ADS B) 57,295,000 7,490,998 0.55%
Invitation Homes Inc    (COM) 56,442,000 2,111,663 0.54%
Waters Corp    (COM) WAT 54,747,000 254,388 0.53%
Prologis Inc    (COM) PLD 53,629,000 669,630 0.51%
AT&T Inc    (COM) T 53,281,000 1,590,190 0.51%
Berkshire Hathaway Inc    (CL B NEW) BRK/B 51,970,000 243,817 0.50%
ANSYS Inc    (COM) ANSS 51,499,000 251,464 0.49%
JPMorgan Chase & Co    (COM) JPM 51,030,000 456,493 0.49%
HCP Inc    (COM) HCP 50,205,000 1,570,166 0.48%
Norfolk Southern Corp    (COM) NSC 46,620,000 233,970 0.45%
Chevron Corp    (COM) CVX 42,177,000 338,986 0.40%
Wells Fargo & Co    (COM) WFC 41,670,000 880,745 0.40%
Johnson & Johnson    (COM) JNJ 41,168,000 295,647 0.39%
Bank of America Corp    (COM) BAC 41,107,000 1,417,636 0.39%
American Campus Communities Inc    (COM) ACC 40,884,000 885,782 0.39%
Mid-America Apartment Communities Inc    (COM) MAA 40,653,000 345,253 0.39%
Liberty Property Trust    (SH BEN INT) LRY 38,964,000 778,715 0.37%
AvalonBay Communities Inc    (COM) AVB 37,939,000 186,759 0.36%
American Homes 4 Rent    (CL A) AMH 37,647,000 1,548,786 0.36%
Verizon Communications Inc    (COM) VZ 37,263,000 652,372 0.36%
Procter & Gamble Co    (COM) PG 36,826,000 335,927 0.35%
Pfizer Inc    (COM) PFE 35,219,000 813,116 0.34%
Loews Corp    (COM) LTR 34,672,000 634,351 0.33%
Walt Disney Co    (COM DISNEY) DIS 33,831,000 242,310 0.32%
Americold Realty Trust    (COM) 33,771,000 1,041,763 0.32%
Citigroup Inc    (COM NEW) C 32,967,000 470,838 0.31%
Healthcare Trust Of America Inc    (CL A NEW) HTA 32,586,000 1,188,080 0.31%
Markel Corp    (COM) MKL 31,033,000 28,485 0.30%
Compania Cervecerias Unidas SA    (SPONSORED ADR) CCU 30,347,000 1,074,409 0.29%
Kilroy Realty Corp    (COM) KRC 28,749,000 389,545 0.27%
Comcast Corp    (CL A) CMCSA 27,441,000 649,156 0.26%
International Business Machines Corp    (COM) IBM 27,426,000 198,922 0.26%
Intel Corp    (COM) INTC 26,716,000 558,207 0.25%
Merck & Co Inc    (COM) MRK 25,969,000 309,780 0.25%
Home Depot Inc    (COM) HD 25,225,000 121,327 0.24%
CubeSmart    (COM) CUBE 24,693,000 738,516 0.23%
General Motors Co    (COM) GM 24,569,000 637,788 0.23%
General Electric Co    (COM) GE 24,325,000 2,317,213 0.23%
Portland General Electric Co    (COM NEW) POR 24,290,000 448,580 0.23%
Duke Realty Corp    (COM NEW) DRE 23,777,000 752,353 0.23%
Yum China Holdings Inc    (COM) 23,684,000 512,804 0.22%
Cisco Systems Inc    (COM) CSCO 23,351,000 426,789 0.22%
Varex Imaging Corp    (COM) VREX 23,340,000 761,591 0.22%
Berkshire Hathaway Inc    (CL A) BRK.A 22,601,000 71 0.21%
Oracle Corp    (COM) ORCL 22,468,000 394,504 0.21%
PepsiCo Inc    (COM) PEP 22,170,000 169,126 0.21%
American International Group Inc    (COM NEW) AIG 21,004,000 394,329 0.20%
Pebblebrook Hotel Trust    (COM) PEB 20,970,000 744,246 0.20%
Equity Residential    (SH BEN INT) EQR 20,144,000 265,433 0.19%
Ford Motor Co    (COM) F 19,860,000 1,941,984 0.19%
UnitedHealth Group Inc    (COM) UNH 19,670,000 80,638 0.19%
CVS Health Corp    (COM) CVS 18,889,000 346,760 0.18%
LyondellBasell Industries NV    (SHS - A -) LALLF 18,609,000 216,106 0.18%
Playa Hotels & Resorts NV    (SHS) 17,850,000 2,315,601 0.17%
Prudential Financial Inc    (COM) PRU 17,250,000 170,841 0.16%
Coca-Cola Co    (COM) KO 17,220,000 338,271 0.16%
Goldman Sachs Group Inc    (COM) GS 16,922,000 82,741 0.16%
McKesson Corp    (COM) MCK 16,323,000 121,517 0.15%
Qualcomm Inc    (COM) QCOM 16,270,000 213,957 0.15%
Gilead Sciences Inc    (COM) GILD 15,941,000 236,032 0.15%
Royal Bank of Canada    (COM) RY 15,772,000 198,443 0.15%
Visa Inc    (COM CL A) V 15,348,000 88,470 0.14%
Valero Energy Corp    (COM) VLO 15,329,000 179,139 0.14%
Jack Henry & Associates Inc    (COM) JKHY 15,051,000 112,426 0.14%
Facebook Inc    (CL A) FB 14,713,000 76,264 0.14%
MetLife Inc    (COM) MET 14,460,000 291,239 0.14%
Amazon.com Inc    (COM) AMZN 13,742,000 7,260 0.13%
Boeing Co    (COM) BA 13,608,000 37,396 0.13%
Illinois Tool Works Inc    (COM) ITW 13,514,000 89,661 0.13%
American Express Co    (COM) AXP 13,472,000 109,194 0.13%
Toronto-Dominion Bank    (COM NEW) TD 13,374,000 228,929 0.12%
Target Corp    (COM) TGT 13,163,000 152,038 0.12%
Cigna Corp    (COM) 13,027,000 82,726 0.12%
Infosys Ltd    (SPONSORED ADR) INFY 12,888,000 1,205,038 0.12%
Morgan Stanley    (COM NEW) MS 12,880,000 294,120 0.12%
Costco Wholesale Corp    (COM) COST 12,820,000 48,541 0.12%
Phillips 66    (COM) PSX 12,701,000 135,868 0.12%
Anthem Inc    (COM) ANTM 12,561,000 44,528 0.12%
Alphabet Inc    (CAP STK CL A) GOOGL 12,283,000 11,350 0.11%
ConocoPhillips    (COM) COP 12,166,000 199,535 0.11%
Alphabet Inc    (CAP STK CL C) GOOG 12,157,000 11,252 0.11%
Amgen Inc    (COM) AMGN 12,136,000 65,884 0.11%
United Parcel Service Inc    (CL B) UPS 11,987,000 116,151 0.11%
Micron Technology Inc    (COM) MU 11,982,000 310,638 0.11%
Nordson Corp    (COM) NDSN 11,785,000 83,418 0.11%
3M Co    (COM) MMM 11,683,000 67,431 0.11%
Medtronic PLC    (SHS) MDT 11,592,000 119,095 0.11%
Walgreens Boots Alliance Inc    (COM) WBA 11,538,000 211,165 0.11%
Ambev SA    (SPONSORED ADR) ABEV 11,438,000 2,450,025 0.11%
Fiat Chrysler Automobiles NV    (SHS) FCAU 11,297,000 810,632 0.10%
U.S. Bancorp    (COM NEW) USB 11,253,000 214,865 0.10%
Duke Energy Corp    (COM NEW) DUK 11,247,000 127,525 0.10%
Lowe's Companies Inc    (COM) LOW 11,152,000 110,573 0.10%
United Technologies Corp    (COM) UTX 11,077,000 85,118 0.10%
Accenture PLC    (SHS CLASS A) ACN 11,047,000 59,827 0.10%
Mobil'nye Telesistemy PAO    (SPONSORED ADR) MBT 10,942,000 1,175,638 0.10%
Caterpillar Inc    (COM) CAT 10,665,000 78,303 0.10%
Bank of Nova Scotia    (COM) BNS 10,640,000 198,151 0.10%
Celgene Corp    (COM) CELG 10,509,000 113,747 0.10%
Allergan plc    (SHS) AGN 10,457,000 62,495 0.10%
Honeywell International Inc    (COM) HON 10,313,000 59,095 0.09%
Mondelez International Inc    (CL A) MDLZ 10,197,000 189,256 0.09%
PNC Financial Services Group Inc    (COM) PNC 10,188,000 74,264 0.09%
Capital One Financial Corp    (COM) COF 10,056,000 110,872 0.09%
Federal Realty Investment Trust    (SH BEN INT NEW) FRT 10,028,000 77,917 0.09%
Hewlett Packard Enterprise Co    (COM) HPE 9,955,000 666,386 0.09%
AbbVie Inc    (COM) ABBV 9,894,000 136,156 0.09%
Applied Materials Inc    (COM) AMAT 9,733,000 216,871 0.09%
Genworth Financial Inc    (COM CL A) GNW 9,672,000 2,608,300 0.09%
Mastercard Inc    (CL A) MA 9,630,000 36,424 0.09%
Travelers Companies Inc    (COM) TRV 9,523,000 63,728 0.09%
Sprint Corp    (COM) 9,480,000 1,443,865 0.09%
Ryder System Inc    (COM) R 9,404,000 161,388 0.09%
Occidental Petroleum Corp    (COM) OXY 9,223,000 183,555 0.08%
AmerisourceBergen Corp    (COM) ABC 9,213,000 108,144 0.08%
Nike Inc    (CL B) NKE 9,192,000 109,582 0.08%
Kroger Co    (COM) KR 9,120,000 420,382 0.08%
Legg Mason Inc    (COM) LM 9,030,000 235,980 0.08%
UBS Group AG    (SHS) UBS 8,888,000 748,402 0.08%
Exelon Corp    (COM) EXC 8,763,000 182,894 0.08%
Chimera Investment Corp    (COM NEW) CIM 8,713,000 461,947 0.08%
Avis Budget Group Inc    (COM) CAR 8,698,000 247,503 0.08%
Chubb Ltd    (COM) CB 8,645,000 58,740 0.08%
Seagate Technology PLC    (SHS) STX 8,629,000 183,193 0.08%
Annaly Capital Management Inc    (COM) NLY 8,585,000 941,017 0.08%
Cardinal Health Inc    (COM) CAH 8,489,000 180,365 0.08%
Suncor Energy Inc    (COM) SU 8,425,000 270,127 0.08%
Delta Air Lines Inc    (COM NEW) DAL 8,402,000 148,114 0.08%
Southern Co    (COM) SO 8,401,000 152,078 0.08%
Texas Instruments Inc    (COM) TXN 8,307,000 72,437 0.08%
BlackRock Inc    (COM) BLK 8,142,000 17,365 0.07%
Bank of Montreal    (COM) BMO 7,996,000 105,899 0.07%
Bank of New York Mellon Corp    (COM) BK 7,648,000 173,375 0.07%
Teck Resources Ltd    (CL B) TCK 7,630,000 330,763 0.07%
Allstate Corp    (COM) ALL 7,608,000 74,874 0.07%
Archer Daniels Midland Co    (COM) ADM 7,594,000 186,282 0.07%
Marathon Petroleum Corp    (COM) MPC 7,498,000 134,307 0.07%
Invesco Ltd    (SHS) IVZ 7,474,000 365,474 0.07%
Deere & Co    (COM) DE 7,455,000 45,038 0.07%
FedEx Corp    (COM) FDX 7,444,000 45,380 0.07%
United Rentals Inc    (COM) URI 7,423,000 55,999 0.07%
Starbucks Corp    (COM) SBUX 7,385,000 88,163 0.07%
United Airlines Holdings Inc    (COM) UAL 7,328,000 83,735 0.07%
Aflac Inc    (COM) AFL 7,203,000 131,545 0.06%
TJX Companies Inc    (COM) TJX 7,188,000 136,035 0.06%
PriceSmart Inc    (COM) PSMT 7,139,000 139,701 0.06%
Bed Bath & Beyond Inc    (COM) BBBY 7,094,000 610,933 0.06%
Canadian National Railway Co    (COM) CNI 6,988,000 75,543 0.06%
Packaging Corp of America    (COM) PKG 6,883,000 72,230 0.06%
BCE Inc    (COM NEW) BCE 6,856,000 150,706 0.06%
Eli Lilly and Co    (COM) LLY 6,824,000 61,645 0.06%
PBF Energy Inc    (CL A) PBF 6,780,000 216,740 0.06%
Varian Medical Systems Inc    (COM) VAR 6,686,000 49,155 0.06%
CSX Corp    (COM) CSX 6,565,000 84,948 0.06%
Jabil Inc    (COM) JBL 6,555,000 207,528 0.06%
Lam Research Corp    (COM) LRCX 6,537,000 34,830 0.06%
AGNC Investment Corp    (COM) 6,486,000 385,878 0.06%
Linde PLC    (SHS) 6,413,000 31,970 0.06%
T-Mobile US Inc    (COM) TMUS 6,341,000 85,597 0.06%
World Fuel Services Corp    (COM) INT 6,288,000 174,938 0.06%
Corning Inc    (COM) GLW 6,281,000 189,183 0.06%
General Mills Inc    (COM) GIS 6,264,000 119,400 0.06%
American Airlines Group Inc    (COM) AAL 6,229,000 191,133 0.06%
Sysco Corp    (COM) SYY 6,162,000 87,207 0.05%
1 2 3 4 5 6 Next >Full Portfolio View
Total Value As 2019-06-30: 10,322,865,000 SEC FILING
* Portfolios do not reflect changes after reporting
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MAJOR GURUS:
Warren Buffett
John Paulson
George Soros

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