FACTORY MUTUAL INSURANCE CO - Q3 2015 holdings

$7.31 Billion is the total value of FACTORY MUTUAL INSURANCE CO's 193 reported holdings in Q3 2015. The portfolio turnover from Q2 2015 to Q3 2015 was 0.0% .

 Value Shares↓ Weighting
JPM  JPMORGAN CHASE & CO$181,907,000
-10.0%
2,983,5500.0%2.49%
-5.8%
CVS  CVS HEALTH CORP$116,065,000
-8.0%
1,203,0000.0%1.59%
-3.6%
WFC  WELLS FARGO & CO NEW$113,779,000
-8.7%
2,215,7550.0%1.56%
-4.4%
JNJ  JOHNSON & JOHNSON$110,461,000
-4.2%
1,183,3000.0%1.51%
+0.3%
HD  HOME DEPOT INC$109,138,000
+3.9%
945,0000.0%1.49%
+8.8%
PG  PROCTER & GAMBLE CO$108,476,000
-8.1%
1,507,8620.0%1.48%
-3.7%
VGK  VANGUARD INTL EQUITY INDEX Fftse europe etf$105,491,000
-8.9%
2,145,0000.0%1.44%
-4.6%
MSFT  MICROSOFT CORP$103,830,000
+0.3%
2,345,9000.0%1.42%
+5.0%
GE  GENERAL ELECTRIC CO$102,276,000
-5.1%
4,055,3500.0%1.40%
-0.6%
VPL  VANGUARD INTL EQUITY INDEX Fftse pacific etf$90,929,000
-12.0%
1,693,6000.0%1.24%
-7.9%
BRKB  BERKSHIRE HATHAWAY INC DELcl b new$80,457,000
-4.2%
617,0000.0%1.10%
+0.4%
PFE  PFIZER INC$77,872,000
-6.3%
2,479,1970.0%1.06%
-1.9%
PEP  PEPSICO INC$76,722,000
+1.0%
813,6000.0%1.05%
+5.7%
USB  US BANCORP DEL$76,340,000
-5.5%
1,861,5000.0%1.04%
-1.0%
GOOGL  GOOGLE INCcl a$74,498,000
+18.2%
116,7000.0%1.02%
+23.8%
VZ  VERIZON COMMUNICATIONS INC$65,220,000
-6.7%
1,498,9660.0%0.89%
-2.3%
NKE  NIKE INCcl b$61,091,000
+13.8%
496,8000.0%0.84%
+19.3%
EWG  ISHARESmsci germany etf$60,398,000
-11.3%
2,441,3000.0%0.83%
-7.1%
MRK  MERCK & CO INC NEW$55,640,000
-13.2%
1,126,5430.0%0.76%
-9.2%
VWO  VANGUARD INTL EQUITY INDEX Fftse emr mkt etf$55,426,000
-19.1%
1,675,0000.0%0.76%
-15.2%
SPG  SIMON PPTY GROUP INC NEW$53,417,000
+6.2%
290,7500.0%0.73%
+11.3%
BA  BOEING CO$48,582,000
-5.6%
371,0000.0%0.66%
-1.0%
BAC  BANK AMER CORP$48,093,000
-8.5%
3,086,8490.0%0.66%
-4.1%
TMO  THERMO FISHER SCIENTIFIC INC$47,591,000
-5.8%
389,2000.0%0.65%
-1.4%
XLF  SELECT SECTOR SPDR TRsbi int-finl$47,019,000
-7.1%
2,075,0000.0%0.64%
-2.7%
EWA  ISHARESmsci aust etf$44,979,000
-14.8%
2,510,0000.0%0.62%
-10.7%
ESRX  EXPRESS SCRIPTS HLDG CO$42,139,000
-9.0%
520,4880.0%0.58%
-4.8%
AET  AETNA INC NEW$40,996,000
-14.2%
374,7000.0%0.56%
-10.1%
NSC  NORFOLK SOUTHERN CORP$40,270,000
-12.5%
527,1000.0%0.55%
-8.3%
MCD  MCDONALDS CORP$39,392,000
+3.6%
399,8000.0%0.54%
+8.7%
QCOM  QUALCOMM INC$37,219,000
-14.2%
692,7000.0%0.51%
-10.2%
SBUX  STARBUCKS CORP$36,923,000
+6.0%
649,6000.0%0.50%
+11.0%
CELG  CELGENE CORP$36,832,000
-6.5%
340,5000.0%0.50%
-2.1%
MO  ALTRIA GROUP INC$36,644,000
+11.2%
673,6000.0%0.50%
+16.5%
ORCL  ORACLE CORP$36,370,000
-10.4%
1,006,9200.0%0.50%
-6.0%
TRV  TRAVELERS COMPANIES INC$35,301,000
+3.0%
354,6820.0%0.48%
+7.8%
VSS  VANGUARD INTL EQUITY INDEX Fftse smcap etf$34,130,000
-11.0%
376,3000.0%0.47%
-6.8%
MCK  MCKESSON CORP$33,842,000
-17.7%
182,9000.0%0.46%
-13.8%
KRE  SPDR SERIES TRUSTs&p regl bkg$32,120,000
-6.7%
780,0000.0%0.44%
-2.4%
AMT  AMERICAN TOWER CORP NEW$32,095,000
-5.7%
364,8000.0%0.44%
-1.3%
BIIB  BIOGEN INC$31,720,000
-27.8%
108,7000.0%0.43%
-24.3%
MDLZ  MONDELEZ INTL INCcl a$31,536,000
+1.8%
753,2000.0%0.43%
+6.4%
WMT  WAL-MART STORES INC$29,560,000
-8.6%
455,8920.0%0.40%
-4.3%
INTC  INTEL CORP$28,754,000
-0.9%
954,0000.0%0.39%
+3.7%
BMY  BRISTOL MYERS SQUIBB CO$28,586,000
-11.0%
482,8770.0%0.39%
-6.9%
ABT  ABBOTT LABS$28,263,000
-18.1%
702,7000.0%0.39%
-14.0%
COST  COSTCO WHSL CORP NEW$27,902,000
+7.0%
193,0000.0%0.38%
+12.4%
ECL  ECOLAB INC$27,112,000
-3.0%
247,1000.0%0.37%
+1.6%
UNH  UNITEDHEALTH GROUP INC$26,752,000
-4.9%
230,6000.0%0.37%
-0.3%
CCI  CROWN CASTLE INTL CORP NEW$26,237,000
-1.8%
332,6640.0%0.36%
+2.9%
EMC  E M C CORP MASS$26,153,000
-8.5%
1,082,5000.0%0.36%
-4.0%
ACN  ACCENTURE PLC IRELAND$25,636,000
+1.5%
260,9000.0%0.35%
+6.4%
UAL  UNITED CONTL HLDGS INC$25,321,000
+0.1%
477,3000.0%0.35%
+4.8%
AMGN  AMGEN INC$25,257,000
-9.9%
182,6000.0%0.34%
-5.7%
KIE  SPDR SERIES TRUSTs&p ins etf$24,969,000
-0.8%
369,8000.0%0.34%
+4.0%
ITW  ILLINOIS TOOL WKS INC$24,323,000
-10.3%
295,5000.0%0.33%
-5.9%
PEG  PUBLIC SVC ENTERPRISE GROUP$22,766,000
+7.3%
540,0000.0%0.31%
+12.3%
OMC  OMNICOM GROUP INC$22,610,000
-5.2%
343,1000.0%0.31%
-0.6%
LLY  LILLY ELI & CO$22,412,000
+0.2%
267,8000.0%0.31%
+5.1%
TWC  TIME WARNER CABLE INC$22,173,000
+0.7%
123,6160.0%0.30%
+5.2%
IBM  INTERNATIONAL BUSINESS MACHS$21,485,000
-10.9%
148,2000.0%0.29%
-6.7%
ACWX  ISHARES TRmsci acwi ex us$21,477,000
-11.6%
550,0000.0%0.29%
-7.3%
AMAT  APPLIED MATLS INC$20,713,000
-23.6%
1,410,0000.0%0.28%
-20.1%
ABBV  ABBVIE INC$20,137,000
-19.0%
370,1000.0%0.28%
-15.4%
F  FORD MTR CO DEL$18,130,000
-9.6%
1,336,0000.0%0.25%
-5.3%
EEM  ISHARES TRmsci emg mkt etf$17,701,000
-17.3%
540,0000.0%0.24%
-13.3%
GM  GENERAL MTRS CO$17,051,000
-9.9%
568,0000.0%0.23%
-5.7%
CI  CIGNA CORPORATION$16,202,000
-16.7%
120,0000.0%0.22%
-12.6%
CRM  SALESFORCE COM INC$16,011,000
-0.3%
230,6000.0%0.22%
+4.3%
ZTS  ZOETIS INCcl a$15,062,000
-14.6%
365,7620.0%0.21%
-10.4%
CL  COLGATE PALMOLIVE CO$14,812,000
-3.0%
233,4000.0%0.20%
+2.0%
BSX  BOSTON SCIENTIFIC CORP$14,285,000
-7.3%
870,5000.0%0.20%
-3.0%
PRGO  PERRIGO CO PLC$14,154,000
-14.9%
90,0000.0%0.19%
-10.6%
A  AGILENT TECHNOLOGIES INC$13,663,000
-11.0%
398,0000.0%0.19%
-7.0%
FEZ  SPDR INDEX SHS FDSeuro stoxx 50$12,186,000
-9.6%
360,0000.0%0.17%
-5.1%
RTN  RAYTHEON CO$12,019,000
+14.2%
110,0000.0%0.16%
+19.7%
D  DOMINION RES INC VA NEW$11,261,000
+5.3%
160,0000.0%0.15%
+10.0%
HCA  HCA HOLDINGS INC$10,057,000
-14.7%
130,0000.0%0.14%
-10.4%
DE  DEERE & CO$8,880,000
-23.8%
120,0000.0%0.12%
-20.4%
EBAY  EBAY INC$7,508,000
-59.4%
307,2000.0%0.10%
-57.4%
PCAR  PACCAR INC$7,116,000
-18.2%
136,4000.0%0.10%
-14.9%
DISCK  DISCOVERY COMMUNICATNS NEW$6,801,000
-21.8%
280,0000.0%0.09%
-18.4%
ALTR  ALTERA CORP$6,621,000
-2.2%
132,2100.0%0.09%
+3.4%
DHR  DANAHER CORP DEL$6,476,000
-0.4%
76,0000.0%0.09%
+4.7%
ADP  AUTOMATIC DATA PROCESSING IN$6,348,000
+0.2%
79,0000.0%0.09%
+4.8%
HPQ  HEWLETT PACKARD CO$6,171,000
-14.7%
240,9450.0%0.08%
-10.6%
MMM  3M CO$5,869,000
-8.1%
41,4000.0%0.08%
-3.6%
FLR  FLUOR CORP NEW$5,726,000
-20.1%
135,2000.0%0.08%
-17.0%
EWU  ISHARES TRmsci utd kngdm$5,736,000
-10.2%
350,0000.0%0.08%
-6.0%
MYL  MYLAN N V$5,620,000
-40.7%
139,6000.0%0.08%
-37.9%
RSG  REPUBLIC SVCS INC$5,390,000
+5.2%
130,8250.0%0.07%
+10.4%
TXT  TEXTRON INC$5,319,000
-15.7%
141,3000.0%0.07%
-11.0%
MS  MORGAN STANLEY$5,040,000
-18.8%
160,0000.0%0.07%
-14.8%
CNQ  CANADIAN NAT RES LTD$4,715,000
-28.4%
242,4000.0%0.06%
-25.6%
IDXX  IDEXX LABS INC$4,479,000
+15.8%
60,3200.0%0.06%
+19.6%
RIG  TRANSOCEAN LTD$4,371,000
-19.8%
338,3000.0%0.06%
-15.5%
ALXN  ALEXION PHARMACEUTICALS INC$4,223,000
-13.5%
27,0000.0%0.06%
-9.4%
SWN  SOUTHWESTERN ENERGY CO$4,254,000
-44.2%
335,2000.0%0.06%
-42.0%
UPLMQ  ULTRA PETROLEUM CORP$3,936,000
-49.0%
615,9000.0%0.05%
-46.5%
HEZU  ISHARES TRcur hd eurzn etf$3,720,000
-10.4%
150,0000.0%0.05%
-5.6%
CCL  CARNIVAL CORPpaired ctf$3,479,000
+0.6%
70,0000.0%0.05%
+6.7%
DISCA  DISCOVERY COMMUNICATNS NEW$3,384,000
-21.7%
130,0000.0%0.05%
-17.9%
FXI  ISHARES TRchina lg-cap etf$3,203,000
-23.1%
90,3000.0%0.04%
-18.5%
JXI  ISHARES TRglob utilits etf$3,179,000
-0.2%
71,8000.0%0.04%
+2.4%
OIS  OIL STS INTL INC$2,874,000
-29.8%
110,0000.0%0.04%
-26.4%
AZO  AUTOZONE INC$2,533,000
+8.5%
3,5000.0%0.04%
+16.7%
CTXS  CITRIX SYS INC$2,522,000
-1.3%
36,4000.0%0.03%
+3.0%
KEYS  KEYSIGHT TECHNOLOGIES INC$1,465,000
-1.1%
47,5000.0%0.02%
+5.3%
GXC  SPDR INDEX SHS FDSs&p china etf$1,103,000
-22.5%
16,0000.0%0.02%
-21.1%
EPOL  ISHARES TRmsci pol cap etf$1,042,000
-8.8%
50,0000.0%0.01%
-6.7%
NUE  NUCOR CORP$563,000
-14.8%
15,0000.0%0.01%
-11.1%
Original filings

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

  • View 13F-HR filed 2015-10-14
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
APPLE INC42Q3 20236.8%
MICROSOFT CORP42Q3 20237.1%
AMAZON COM INC42Q3 20236.0%
JPMORGAN CHASE & CO42Q3 20232.9%
JOHNSON & JOHNSON42Q3 20232.5%
PROCTER & GAMBLE CO42Q3 20232.0%
EXXON MOBIL CORP42Q3 20233.0%
BERKSHIRE HATHAWAY INC DEL42Q3 20232.2%
CHEVRON CORP NEW42Q3 20232.9%
WELLS FARGO CO NEW42Q3 20231.7%

View FACTORY MUTUAL INSURANCE CO's complete holdings history.

Latest filings
TypeFiled
13F-HR2024-04-12
13F-HR2024-01-23
13F-HR2023-11-07
13F-HR2023-07-27
13F-HR2023-05-08
13F-HR2023-02-02
13F-HR2022-11-04
13F-HR2022-08-08
13F-HR2022-05-13
13F-HR2022-02-10

View FACTORY MUTUAL INSURANCE CO's complete filings history.

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