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Institutional Investment Manager
BLACKROCK ADVISORS LLC
BLACKROCK ADVISORS LLC (CIK: 0001086364) incorporated in Delaware, located at 251 Little Falls Drive, Wilmington, DE. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q4)
Portfolio Summary: 3,698 holdings with a total value of $99,336,078,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 SPDR S&P 500 ETF TR 15,633,600 3,213,330,000 3.23% Call
2 JPMORGAN CHASE & CO 30,275,744 1,894,656,000 1.91%
3 WELLS FARGO & CO NEW 32,496,034 1,781,432,000 1.79%
4 PFIZER INC 47,364,055 1,475,390,000 1.49%
5 CITIGROUP INC 22,905,278 1,239,405,000 1.25%
6 MICROSOFT CORP 25,596,214 1,188,943,000 1.20%
7 MERCK & CO INC 20,147,194 1,144,159,000 1.15%
8 ISHARES IBOXX $ HIGH YIELD CORPORATE BOND ETF 12,317,889 1,103,683,000 1.11%
9 GENERAL ELECTRIC CO 43,580,471 1,101,278,000 1.11%
10 PROCTER AND GAMBLE CO 12,004,530 1,093,493,000 1.10%
11 HOME DEPOT INC 10,133,897 1,063,755,000 1.07%
12 CHEVRON CORP NEW 8,783,493 985,332,000 0.99%
13 ABBVIE INC 15,041,268 984,301,000 0.99%
14 BANK AMER CORP 54,546,865 975,844,000 0.98%
15 VERIZON COMMUNICATIONS INC 19,642,598 918,881,000 0.93%
16 EXXON MOBIL CORP 9,253,059 855,445,000 0.86%
17 COMCAST CORP NEW 14,824,775 853,388,000 0.86%
18 US BANCORP DEL 18,937,673 851,249,000 0.86%
19 RAYTHEON CO 7,683,432 831,116,000 0.84%
20 JOHNSON & JOHNSON 7,830,528 818,838,000 0.82%
21 INTEL CORP 22,159,948 804,185,000 0.81%
22 UNION PAC CORP 6,739,869 802,921,000 0.81%
23 BRISTOL MYERS SQUIBB CO 13,429,619 792,750,000 0.80%
24 AMERICAN EXPRESS CO 7,631,956 710,077,000 0.71%
25 MCDONALDS CORP 7,067,676 662,241,000 0.67%
26 UNITED PARCEL SERVICE INC 5,861,145 651,583,000 0.66%
27 CISCO SYS INC 22,180,519 616,951,000 0.62%
28 VISA INC 2,314,532 606,870,000 0.61%
29 SUNTRUST BKS INC 14,460,270 605,885,000 0.61%
30 NORTHROP GRUMMAN CORP 4,067,246 599,471,000 0.60%
31 ORACLE CORP 13,281,233 597,257,000 0.60%
32 APPLE INC 5,287,045 583,585,000 0.59%
33 DU PONT E I DE NEMOURS & CO 7,875,613 582,323,000 0.59%
34 TOTAL S A 11,196,270 573,249,000 0.58%
35 AMERICAN INTL GROUP INC 10,188,698 570,669,000 0.57%
36 3M CO 3,412,383 560,723,000 0.56%
37 QUALCOMM INC 7,453,917 554,049,000 0.56%
38 PRUDENTIAL FINL INC 6,123,488 553,930,000 0.56%
39 FACEBOOK INC 6,986,038 545,051,000 0.55%
40 DISCOVER FINANCIAL 8,300,526 543,602,000 0.55%
41 UNITED TECHNOLOGIES CORP 4,694,053 539,816,000 0.54%
42 ISHARES NASDAQ BIOTECHNOLOGY ETF 988,062 524,325,000 0.53%
43 METLIFE INC 9,463,550 511,883,000 0.52%
44 TRAVELERS COMPANIES INC 4,825,421 510,771,000 0.51%
45 TEVA PHARMACEUTICAL INDS LTD 8,744,505 502,897,000 0.51%
46 NEXTERA ENERGY INC 4,691,305 498,638,000 0.50%
47 COCA COLA CO 11,640,414 491,459,000 0.49%
48 KROGER CO 7,317,687 469,869,000 0.47%
49 AMGEN INC 2,949,384 469,807,000 0.47%
50 DOMINION ENERGY INC 6,096,127 468,792,000 0.47%
Page 1 of 74

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001086364-15-002000, filed 2015.02.09).

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.