Institutional Owners for BA
Institution Class Position Value Shares Portfolio Percentage (%) Previous Percentage (%) Shares Delta Shares Delta (%) Period of Report
VANGUARD GROUP INC COM 1 $14,638,355,000 40,214,155 0.55 0.60 275,250 0.69 06-30-2019
PRICE T ROWE ASSOCIATES INC /MD/ COMM STK 2 $13,009,918,000 35,740,551 1.83 1.86 2,607,364 7.87 06-30-2019
BLACKROCK INC COM 3 $12,406,056,000 34,081,637 0.53 0.58 264,410 0.78 06-30-2019
NEWPORT TRUST CO COM 4 $11,163,856,000 30,669,091 30.20 34.73 298,466 0.98 06-30-2019
STATE STREET CORP COM 5 $9,510,866,000 26,128,035 0.71 0.78 -151,127 -0.58 06-30-2019
CAPITAL WORLD INVESTORS COMMON STOCK 6 $5,753,647,000 15,806,288 1.35 1.39 764,611 5.08 06-30-2019
SUSQUEHANNA INTERNATIONAL GROUP LLP COM 7 $3,613,579,000 9,926,912 1.39 2.27 -4,544,715 -31.40 06-30-2019
FMR LLC COM 8 $2,999,308,000 8,239,631 0.35 0.50 -2,802,205 -25.38 06-30-2019
CAPITAL INTERNATIONAL INVESTORS COMMON STOCK 9 $2,715,953,000 7,120,635 1.17 0.96 1,170,645 19.67 03-31-2019
GEODE CAPITAL MANAGEMENT LLC COM 10 $2,507,201,000 6,584,260 0.65 0.62 322,157 5.14 03-31-2019
JENNISON ASSOCIATES LLC COM 11 $2,327,082,000 6,392,907 2.33 2.80 -988,467 -13.39 06-30-2019
THOROUGHBRED FINANCIAL SERVICES LLC COM 12 $6,235,551,000 6,235,551 2.37 2.65 6,218,711 36928.21 06-30-2019
NORTHERN TRUST CORP COM 13 $2,318,971,000 6,079,836 0.57 0.56 -82,307 -1.34 03-31-2019
JANUS HENDERSON GROUP PLC COM 14 $2,029,440,000 5,575,193 1.11 1.17 21,663 0.39 06-30-2019
UBS GROUP AG COM 15 $1,797,881,000 4,939,099 0.69 0.47 1,929,625 64.12 06-30-2019
BANK OF NEW YORK MELLON CORP COM 16 $1,625,299,000 4,464,985 0.44 0.49 -137,627 -2.99 06-30-2019
MORGAN STANLEY COM 17 $1,530,420,000 4,204,338 0.41 0.45 13,642 0.33 06-30-2019
NUVEEN ASSET MANAGEMENT LLC COM 18 $1,510,613,000 4,149,922 0.60 0.45 3,928,546 1774.60 06-30-2019
GOLDMAN SACHS GROUP INC CMN 19 $1,555,318,000 4,077,701 0.47 0.38 347,376 9.31 03-31-2019
WELLS FARGO & COMPANY/MN COM 20 $1,422,038,000 3,906,638 0.41 0.50 -467,088 -10.68 06-30-2019
BANK OF AMERICA CORP /DE/ COM 21 $1,416,592,000 3,891,630 0.21 0.25 -364,778 -8.57 06-30-2019
JPMORGAN CHASE & CO COMMON 22 $1,410,701,000 3,875,338 0.28 0.29 198,582 5.40 06-30-2019
CITADEL ADVISORS LLC Cmn 23 $1,377,361,000 3,783,854 0.63 0.98 -1,376,430 -26.67 06-30-2019
TIAA CREF INVESTMENT MANAGEMENT LLC CS 24 $1,277,111,000 3,348,307 0.90 0.88 -98,881 -2.87 03-31-2019
JANE STREET GROUP LLC COM 25 $1,231,441,000 3,228,573 2.00 0.79 2,058,231 175.87 03-31-2019
DEUTSCHE BANK AG\ COM 26 $1,068,297,000 2,934,830 0.63 0.52 663,921 29.24 06-30-2019
VIKING GLOBAL INVESTORS LP COM Liquidated $1,010,899,000 2,777,120 4.54 1.02 2,777,120 +Inf 06-30-2019
LEGAL & GENERAL GROUP PLC COM 28 $968,681,000 2,661,139 0.52 0.59 -53,531 -1.97 06-30-2019
FRANKLIN RESOURCES INC COM 29 $899,065,000 2,469,889 0.48 0.44 324,666 15.13 06-30-2019
CHARLES SCHWAB INVESTMENT MANAGEMENT INC COM 30 $841,107,000 2,310,668 0.51 0.56 9,614 0.42 06-30-2019
SUMITOMO MITSUI TRUST HOLDINGS INC COM 31 $823,918,000 2,263,450 0.74 0.82 -51,812 -2.24 06-30-2019
PARALLAX VOLATILITY ADVISERS LP COM 32 $770,044,000 2,115,487 0.84 0.44 1,092,128 106.72 06-30-2019
CAPITAL RESEARCH GLOBAL INVESTORS COMMON STOCK 33 $781,301,000 2,048,401 0.25 0.27 -318,454 -13.45 03-31-2019
UBS ASSET MANAGEMENT AMERICAS INC EQUITY US CM 34 $758,514,316 1,988,659 0.00 0.00 -47,737 -2.34 03-31-2019
AMERICAN CENTURY COMPANIES INC COM 35 $736,625,000 1,931,271 0.75 1.05 -916,203 -32.18 03-31-2019
ALLIANCEBERNSTEIN LP COM 36 $724,368,000 1,899,136 0.47 0.52 -287,462 -13.15 03-31-2019
AMERIPRISE FINANCIAL INC COM 37 $681,041,000 1,873,898 0.31 0.40 -427,030 -18.56 06-30-2019
SWISS NATIONAL BANK COM 38 $636,978,000 1,749,891 0.69 0.75 -50,900 -2.83 06-30-2019
NEUBERGER BERMAN GROUP LLC Common 39 $627,729,000 1,724,482 0.75 0.80 7,098 0.41 06-30-2019
CITIGROUP INC COM 40 $602,469,000 1,655,088 0.49 0.49 312,903 23.31 06-30-2019
WELLINGTON MANAGEMENT GROUP LLP COM 41 $549,159,000 1,508,638 0.12 0.12 113,402 8.13 06-30-2019
ROYAL BANK OF CANADA COM 42 $539,809,000 1,482,952 0.22 0.26 -99,554 -6.29 06-30-2019
PARAMETRIC PORTFOLIO ASSOCIATES LLC Common Stock 43 $538,230,000 1,478,614 0.44 0.49 -18,757 -1.25 06-30-2019
DIMENSIONAL FUND ADVISORS LP COM 44 $494,713,000 1,359,065 0.19 0.21 -107 -0.01 06-30-2019
TEACHERS ADVISORS LLC CS 45 $511,308,000 1,340,538 0.63 0.55 126,188 10.39 03-31-2019
INVESCO LTD COM 46 $485,060,000 1,332,545 0.12 0.11 457,431 52.27 06-30-2019
AQR CAPITAL MANAGEMENT LLC COM 47 $505,458,000 1,325,199 0.54 0.75 -686,895 -34.14 03-31-2019
ARROWSTREET CAPITAL LIMITED PARTNERSHIP COM 48 $503,585,000 1,320,291 1.19 0.66 540,335 69.28 03-31-2019
TD ASSET MANAGEMENT INC COM 49 $473,715,000 1,301,381 0.71 0.72 64,440 5.21 06-30-2019
NEW YORK STATE COMMON RETIREMENT FUND Common Stock 50 $461,750,000 1,268,508 0.58 0.62 -5,264 -0.41 06-30-2019
PRIMECAP MANAGEMENT CO/CA/ COM 51 $456,880,000 1,255,129 0.34 0.35 10,050 0.81 06-30-2019
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