Barclays PLC’s $1.76 Billion in Consumer Goods Stock Positions: PM, CAG, PG, LEA, KO, PEP, TIN, MO

Wall St. Watchdog reveals information regarding Barclays PLC’s top holdings in the Consumer Goods sector for the quarter ending September 30th, 2011. The firm held 626 stocks in the Consumer Goods sector at the end of the quarter with an aggregate market value of $1.768 billion.

  • Philip Morris International Inc. (NYSE:PM): On 06/30/2011, Barclays PLC reported holding 2,820,987 shares with a market value of $188,357,293. This comprised 0.49% of the total portfolio. On 09/30/2011, Barclays PLC reported holding 2,541,171 shares with a market value of $158,518,250. This comprised 0.56% of the total portfolio. The net change in shares for this position over the two quarters is -279,816. About Company: Philip Morris International Inc., through its subsidiaries, affiliates and their licensees, produces, sells, distributes, and markets a wide range of branded cigarettes and tobacco products in markets outside of the United States of America. The Company’s portfolio comprises both international and local brands.
  • Conagra Foods Inc. (NYSE:CAG): On 06/30/2011, Barclays PLC reported holding 4,621,737 shares with a market value of $119,287,030. This comprised 0.31% of the total portfolio. On 09/30/2011, Barclays PLC reported holding 5,571,214 shares with a market value of $134,934,799. This comprised 0.48% of the total portfolio. The net change in shares for this position over the two quarters is 949,477. About Company: ConAgra Foods, Inc. manufactures and markets packaged foods for retail consumers, restaurants and institutions. The Company offers a wide range of food products, including meals, entrees, condiments, sides, snacks, specialty potato products, milled grain ingredients, dehydrated vegetables and seasonings, and blends and flavors.
  • Procter & Gamble Co. (NYSE:PG): On 06/30/2011, Barclays PLC reported holding 4,095,659 shares with a market value of $260,361,041. This comprised 0.67% of the total portfolio. On 09/30/2011, Barclays PLC reported holding 1,988,029 shares with a market value of $125,603,673. This comprised 0.44% of the total portfolio. The net change in shares for this position over the two quarters is -2,107,630. About Company: The Procter & Gamble Company manufactures and markets consumer products in countries throughout the world. The Company provides products in the laundry and cleaning, paper, beauty care, food and beverage, and health care segments. Proctor & Gamble’s products are sold primarily through mass merchandisers, grocery stores, membership club stores, drug stores, and neighborhood stores.
  • Lear Corp. (NYSE:LEA): On 06/30/2011, Barclays PLC reported holding 2,497,107 shares with a market value of $133,545,281. This comprised 0.34% of the total portfolio. On 09/30/2011, Barclays PLC reported holding 2,523,355 shares with a market value of $108,251,933. This comprised 0.38% of the total portfolio. The net change in shares for this position over the two quarters is 26,248. About Company: Lear Corporation manufactures automobile parts. The Company produces seating systems; wiring harnesses; terminals; connectors; junction boxes; body control electronics; wireless products; and audio systems.
  • The Coca-cola Company (NYSE:KO): On 06/30/2011, Barclays PLC reported holding 1,523,351 shares with a market value of $102,506,290. This comprised 0.26% of the total portfolio. On 09/30/2011, Barclays PLC reported holding 1,531,452 shares with a market value of $103,464,893. This comprised 0.37% of the total portfolio. The net change in shares for this position over the two quarters is 8,101. About Company: The Coca-Cola Company manufactures, markets, and distributes soft drink concentrates and syrups. The Company also distributes and markets juice and juice-drink products. Coca-Cola distributes its products to retailers and wholesalers in the United States and internationally.
  • Pepsico Inc. (NYSE:PEP): On 06/30/2011, Barclays PLC reported holding 1,356,615 shares with a market value of $95,546,395. This comprised 0.25% of the total portfolio. On 09/30/2011, Barclays PLC reported holding 1,338,222 shares with a market value of $82,835,944. This comprised 0.29% of the total portfolio. The net change in shares for this position over the two quarters is -18,393. About Company: PepsiCo, Inc. operates worldwide beverage, snack and food businesses. The Company manufacture or uses contract manufacturers, market and sell a variety of grain-based snacks, carbonated and non-carbonated beverages and foods in countries throughout the world.
  • Temple-inland Inc. (NYSE:TIN): On 06/30/2011, Barclays PLC reported holding 353,652 shares with a market value of $10,517,610. This comprised 0.03% of the total portfolio. On 09/30/2011, Barclays PLC reported holding 1,919,329 shares with a market value of $60,209,352. This comprised 0.21% of the total portfolio. The net change in shares for this position over the two quarters is 1,565,677. About Company: Temple-Inland Inc. manufactures paper, corrugated packaging, and building products. Temple-Inland’s products include linerboard, lumber, particleboard, and fiberboard.
  • Reynolds American Inc. (NYSE:RAI): On 06/30/2011, Barclays PLC reported holding 538,989 shares with a market value of $19,969,542. This comprised 0.05% of the total portfolio. On 09/30/2011, Barclays PLC reported holding 1,530,407 shares with a market value of $57,359,654. This comprised 0.2% of the total portfolio. The net change in shares for this position over the two quarters is 991,418. About Company: Reynolds American Inc., through its subsidiaries, manufactures tobacco and smokeless tobacco products. The Company’s subsidiary sells its products in the United States and its territories.
  • International Paper Co. (NYSE:IP): On 06/30/2011, Barclays PLC reported holding 286,779 shares with a market value of $8,551,750. This comprised 0.02% of the total portfolio. On 09/30/2011, Barclays PLC reported holding 2,403,704 shares with a market value of $55,886,118. This comprised 0.2% of the total portfolio. The net change in shares for this position over the two quarters is 2,116,925. About Company: International Paper Company produces and distributes printing paper, packaging, forest products, and chemical products. The Company operates specialty businesses in global markets as well as a broadly based distribution network. International Paper exports its products worldwide.
  • Altria Group Inc. (NYSE:MO): On 06/30/2011, Barclays PLC reported holding 4,592,351 shares with a market value of $121,283,989. This comprised 0.31% of the total portfolio. On 09/30/2011, Barclays PLC reported holding 1,916,088 shares with a market value of $51,370,318. This comprised 0.18% of the total portfolio. The net change in shares for this position over the two quarters is -2,676,263. About Company: Altria Group, Inc. is a holding company. The Company, through subsidiaries, manufactures and sells cigarettes and other tobacco products, including cigars and pipe tobacco. Altria holds an interest in a brewery company.

(Note: Data regarding Barclays PLC’s stock holdings are sourced from whalewisdom.com. All data are assumed to be accurate.)

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