Ally Financial Inc. - Q2 2020 holdings

$608 Million is the total value of Ally Financial Inc.'s 112 reported holdings in Q2 2020. The portfolio turnover from Q1 2020 to Q2 2020 was 0.0% .

 Value Shares↓ Weighting
VEA  Vanguard Ftse Developed Markets Etfetf$71,179,000
+16.3%
1,835,0000.0%11.71%
+79.4%
VWO  Vanguard Ftse Emerging Markets Etfetf$18,418,000
+18.1%
465,0000.0%3.03%
+81.9%
VZ  Verizon Communications Inc$13,783,000
+2.6%
250,0000.0%2.27%
+58.2%
T  At&t Inc$11,639,000
+3.7%
385,0000.0%1.92%
+59.9%
XOM  Exxon Mobil Corp$11,179,000
+17.8%
250,0000.0%1.84%
+81.6%
CVX  Chevron Corp$9,101,000
+23.1%
102,0000.0%1.50%
+89.9%
AVGO  Broadcom Inc$7,890,000
+33.1%
25,0000.0%1.30%
+105.2%
MRK  Merck & Co Inc$7,114,000
+0.5%
92,0000.0%1.17%
+54.9%
UNH  Unitedhealth Group Inc$7,079,000
+18.3%
24,0000.0%1.16%
+82.3%
MMM  3m Co$7,020,000
+14.3%
45,0000.0%1.16%
+76.1%
FDX  Fedex Corp$7,011,000
+15.6%
50,0000.0%1.15%
+78.4%
CVS  Cvs Health Corp$6,822,000
+9.5%
105,0000.0%1.12%
+68.9%
PM  Philip Morris International Inc$6,656,000
-4.0%
95,0000.0%1.10%
+48.0%
CSCO  Cisco Systems Inc$6,296,000
+18.6%
135,0000.0%1.04%
+82.7%
MO  Altria Group Inc$6,280,000
+1.5%
160,0000.0%1.03%
+56.4%
IBM  International Business Machines Corp$5,555,000
+8.9%
46,0000.0%0.91%
+67.7%
GILD  Gilead Sciences Inc$5,386,000
+2.9%
70,0000.0%0.89%
+58.5%
BUD  Anheuser-busch Inbev Sa/nvadr$5,177,000
+11.7%
105,0000.0%0.85%
+72.1%
ORCL  Oracle Corp$4,974,000
+14.3%
90,0000.0%0.82%
+76.5%
GE  General Electric Co$4,815,000
-14.0%
705,0000.0%0.79%
+32.4%
PEP  Pepsico Inc$4,629,000
+10.1%
35,0000.0%0.76%
+69.7%
MCD  Mcdonald's Corp$4,612,000
+11.6%
25,0000.0%0.76%
+72.1%
MCK  Mckesson Corp$4,603,000
+13.4%
30,0000.0%0.76%
+75.1%
BKNG  Booking Holdings Inc$4,459,000
+18.4%
2,8000.0%0.73%
+82.6%
STT  State Street Corp$4,449,000
+19.3%
70,0000.0%0.73%
+83.9%
BK  Bank Of New York Mellon Corp/the$4,252,000
+14.8%
110,0000.0%0.70%
+76.8%
KHC  Kraft Heinz Co/the$4,178,000
+28.9%
131,0000.0%0.69%
+98.8%
STZ  Constellation Brands Inc$4,024,000
+22.1%
23,0000.0%0.66%
+88.1%
SBUX  Starbucks Corp$3,977,000
+12.0%
54,0380.0%0.66%
+72.8%
GD  General Dynamics Corp$3,886,000
+13.0%
26,0000.0%0.64%
+74.4%
UPS  United Parcel Service Inc$3,780,000
+19.0%
34,0000.0%0.62%
+83.5%
MDT  Medtronic Plc$3,210,000
+1.7%
35,0000.0%0.53%
+56.7%
TXN  Texas Instruments Inc$3,174,000
+27.1%
25,0000.0%0.52%
+95.5%
F  Ford Motor Co$3,040,000
+25.9%
500,0000.0%0.50%
+93.8%
AIG  American International Group Inc$2,962,000
+28.6%
95,0000.0%0.49%
+98.0%
XLNX  Xilinx Inc$2,952,000
+26.3%
30,0000.0%0.49%
+94.4%
NKE  Nike Inc$2,942,000
+18.5%
30,0000.0%0.48%
+82.6%
BEN  Franklin Resources Inc$2,936,000
+25.6%
140,0000.0%0.48%
+94.0%
MDLZ  Mondelez International Inc$2,812,000
+2.1%
55,0000.0%0.46%
+57.5%
QCOM  Qualcomm Inc$2,736,000
+34.8%
30,0000.0%0.45%
+107.4%
UNP  Union Pacific Corp$2,705,000
+19.8%
16,0000.0%0.44%
+84.6%
INTC  Intel Corp$2,573,000
+10.6%
43,0000.0%0.42%
+70.6%
LMT  Lockheed Martin Corp$2,554,000
+7.6%
7,0000.0%0.42%
+66.0%
UBER  Uber Technologies Inc$2,424,000
+11.3%
78,0000.0%0.40%
+71.2%
BDX  Becton Dickinson And Co$2,393,000
+4.1%
10,0000.0%0.39%
+60.8%
PG  Procter & Gamble Co/the$2,391,000
+8.7%
20,0000.0%0.39%
+67.7%
USB  Us Bancorp$2,393,000
+6.9%
65,0000.0%0.39%
+64.9%
BAYRY  Bayer Agadr$2,234,000
+28.7%
120,0000.0%0.37%
+98.9%
YUM  Yum! Brands Inc$2,173,000
+26.9%
25,0000.0%0.36%
+95.6%
LYFT  Lyft Inc$1,915,000
+23.0%
58,0000.0%0.32%
+89.8%
CAT  Caterpillar Inc$1,898,000
+9.0%
15,0000.0%0.31%
+67.7%
AMGN  Amgen Inc$1,651,000
+16.3%
7,0000.0%0.27%
+80.1%
GS  Goldman Sachs Group Inc/the$1,581,000
+27.8%
8,0000.0%0.26%
+97.0%
CB  Chubb Ltd$1,519,000
+13.4%
12,0000.0%0.25%
+74.8%
CCL  Carnival Corp$1,478,000
+24.7%
90,0000.0%0.24%
+91.3%
MS  Morgan Stanley$1,449,000
+42.1%
30,0000.0%0.24%
+118.3%
APH  Amphenol Corp$1,437,000
+31.5%
15,0000.0%0.24%
+101.7%
DOW  Dow Inc$1,427,000
+39.5%
35,0000.0%0.24%
+115.6%
CSX  Csx Corp$1,395,000
+21.7%
20,0000.0%0.23%
+88.5%
CME  Cme Group Inc$1,300,000
-6.0%
8,0000.0%0.21%
+44.6%
DD  DUPONT DE NEMOURS INC$1,240,000
+55.8%
23,3320.0%0.20%
+140.0%
SWN  Southwestern Energy Co$1,190,000
+51.4%
465,0000.0%0.20%
+133.3%
VIAC  Viacomcbs Inc$1,166,000
+66.3%
50,0000.0%0.19%
+156.0%
SLB  Schlumberger Ltd$1,103,000
+36.3%
60,0000.0%0.18%
+111.6%
ANTM  Anthem Inc$1,052,000
+15.9%
4,0000.0%0.17%
+78.4%
GM  General Motors Co$1,012,000
+21.8%
40,0000.0%0.17%
+87.6%
UAA  Under Armour Inc$974,000
+5.8%
100,0000.0%0.16%
+63.3%
CI  Cigna Corp$938,000
+5.9%
5,0000.0%0.15%
+62.1%
EMR  Emerson Electric Co$930,000
+30.1%
15,0000.0%0.15%
+101.3%
NSC  Norfolk Southern Corp$878,000
+20.3%
5,0000.0%0.14%
+84.6%
BMY  Bristol-myers Squibb Co$823,000
+5.5%
14,0000.0%0.14%
+62.7%
EXPE  Expedia Group Inc$822,000
+46.0%
10,0000.0%0.14%
+125.0%
CAH  Cardinal Health Inc$783,000
+8.9%
15,0000.0%0.13%
+67.5%
RCL  Royal Caribbean Cruises Ltd$704,000
+56.4%
14,0000.0%0.12%
+141.7%
DFS  Discover Financial Services$701,000
+40.5%
14,0000.0%0.12%
+117.0%
CTVA  Corteva Inc$625,000
+14.1%
23,3320.0%0.10%
+74.6%
DVN  Devon Energy Corp$510,000
+64.0%
45,0000.0%0.08%
+154.5%
NOV  National Oilwell Varco Inc$306,000
+24.4%
25,0000.0%0.05%
+92.3%
Other managers

Other managers that, in addition to the filing manager(s), that filed the EDGAR filing(s):

Original filings

The following EDGAR filing(s) were analyzed to create this report:

  • View 13F-HR filed 2020-08-13
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
Schlumberger Nv41Q3 20231.4%
Citigroup Inc40Q3 20232.0%
Gilead Sciences Inc40Q3 20231.1%
Goldman Sachs Group Inc/the40Q3 20231.4%
Franklin Resources Inc40Q3 20231.3%
At&t Inc39Q3 20232.1%
Verizon Communications Inc38Q3 20232.5%
Wells Fargo & Co38Q3 20233.2%
Intel Corp38Q3 20232.0%
Us Bancorp/mn38Q3 20231.6%

View Ally Financial Inc.'s complete holdings history.

Latest filings
TypeFiled
424B22024-05-28
424B22024-05-28
424B22024-05-20
424B22024-05-20
42024-05-16
42024-05-16
42024-05-16
42024-05-16
42024-05-16
42024-05-16

View Ally Financial Inc.'s complete filings history.

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Export Ally Financial Inc.'s holdings