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Institutional Investment Manager
PNC FINANCIAL SERVICES GROUP, INC.
PNC FINANCIAL SERVICES GROUP, INC. (CIK: 0000713676) incorporated in Pennsylvania, registered under National Commercial Banks, located at The Tower At Pnc Plaza, Pittsburgh, PA. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q1)
Portfolio Summary: 4,777 holdings with a total value of $91,042,455,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 V F CORP 169,040,132 12,730,413,000 13.98%
2 BLACKROCK INC 34,612,852 12,662,765,000 13.91%
3 EXXON MOBIL CORP 22,388,362 1,903,013,000 2.09%
4 PROCTER AND GAMBLE CO 18,074,931 1,481,061,000 1.63%
5 APPLE INC 10,919,475 1,358,713,000 1.49%
6 SPDR S&P 500 ETF TR 6,064,074 1,251,806,000 1.37%
7 JOHNSON & JOHNSON 11,896,178 1,196,756,000 1.31%
8 ISHARES TR 5,549,447 1,153,341,000 1.27%
9 GENERAL ELECTRIC CO 41,934,390 1,040,393,000 1.14%
10 ISHARES TR 14,445,645 926,978,000 1.02%
11 ISHARES TR 4,711,426 815,642,000 0.90%
12 WELLS FARGO & CO NEW 14,296,242 777,715,000 0.85%
13 PFIZER INC 21,799,693 758,412,000 0.83%
14 MERCK & CO INC 12,641,192 726,617,000 0.80%
15 JPMORGAN CHASE & CO 11,785,446 713,961,000 0.78%
16 PEPSICO INC 7,194,306 687,920,000 0.76%
17 3M CO 4,118,388 679,328,000 0.75%
18 CHEVRON CORP NEW 6,430,398 675,064,000 0.74%
19 HOME DEPOT INC 5,835,462 662,968,000 0.73%
20 MICROSOFT CORP 15,228,126 619,101,000 0.68%
21 DISNEY WALT CO 5,653,835 593,028,000 0.65%
22 VERIZON COMMUNICATIONS INC 11,654,595 566,763,000 0.62%
23 ISHARES TR 4,287,903 533,288,000 0.59%
24 ISHARES TR 4,758,793 530,271,000 0.58%
25 CISCO SYS INC 18,393,431 506,279,000 0.56%
26 INTERNATIONAL BUSINESS MACHS 3,145,456 504,845,000 0.55%
27 BRISTOL MYERS SQUIBB CO 7,673,741 494,956,000 0.54%
28 INTEL CORP 15,499,551 484,670,000 0.53%
29 UNITED TECHNOLOGIES CORP 4,105,463 481,161,000 0.53%
30 AT&T INC 14,163,802 462,447,000 0.51%
31 BERKSHIRE HATHAWAY INC DEL 2,076 451,530,000 0.50%
32 ISHARES TR 11,247,544 451,364,000 0.50%
33 UNION PAC CORP 3,992,661 432,446,000 0.47%
34 ERIE INDEMNITY CO-CL A 4,890,634 426,756,000 0.47%
35 ALTRIA GROUP INC 8,353,111 417,823,000 0.46%
36 QUALCOMM INC 5,846,687 405,409,000 0.45%
37 MCDONALDS CORP 4,159,938 405,343,000 0.45%
38 COCA COLA CO 9,887,203 400,925,000 0.44%
39 ISHARES TR 3,957,517 391,479,000 0.43%
40 BERKSHIRE HATHAWAY INC DEL 2,703,497 390,172,000 0.43%
41 ISHARES TR 3,454,714 382,091,000 0.42%
42 ISHARES TR 3,122,609 380,054,000 0.42%
43 CVS HEALTH CORP 3,635,601 375,231,000 0.41%
44 AMGEN INC 2,337,964 373,724,000 0.41%
45 DU PONT E I DE NEMOURS & CO 5,220,631 373,119,000 0.41%
46 PPG INDS INC 1,646,674 371,390,000 0.41%
47 CONOCOPHILLIPS 5,962,973 371,254,000 0.41%
48 VANGUARD INTL EQUITY INDEX F 8,962,615 366,303,000 0.40%
49 ORACLE CORP 8,301,981 358,229,000 0.39%
50 SCHLUMBERGER LTD 4,276,522 356,834,000 0.39%
Page 1 of 96

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000950123-15-005137, filed 2015.05.08).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.