BlackRock Group Ltd’s Top 3 Conglomerates Stocks: GE, UTX, MMM

Wall St. Watchdog reveals information regarding BlackRock Group Ltd’s top holdings in the Conglomerates sector for the quarter ending September 30th, 2011. The firm held 11 stocks in the Conglomerates sector at the end of the quarter with an aggregate market value of $2.394 billion.

  • General Electric Co. (NYSE:GE): On 06/30/2011, BlackRock Group Ltd reported holding 72,476,285 shares with a market value of $1,366,902,779. This comprised 1.03% of the total portfolio. On 09/30/2011, BlackRock Group Ltd reported holding 70,349,367 shares with a market value of $1,070,717,385. This comprised 0.98% of the total portfolio. The net change in shares for this position over the two quarters is -2,126,918. About Company: General Electric Company is a diversified technology, media and financial services company. The Company offers products and services ranging from aircraft engines, power generation, and water processing technology to medical imaging, business and consumer financing, media content and industrial products. General Electric conducts operations globally.
  • United Technologies Corp. (NYSE:UTX): On 06/30/2011, BlackRock Group Ltd reported holding 6,681,179 shares with a market value of $591,351,168. This comprised 0.45% of the total portfolio. On 09/30/2011, BlackRock Group Ltd reported holding 8,592,999 shares with a market value of $604,603,415. This comprised 0.56% of the total portfolio. The net change in shares for this position over the two quarters is 1,911,820. About Company: United Technologies Corporation provides technology products and support services to customers in the aerospace and building industries worldwide. The Company’s products include aircraft engines, elevators and escalators, heating and air conditioning equipment, helicopters, aerospace systems, fuel cell systems, and fire and safety equipment.
  • 3m Co. (NYSE:MMM): On 06/30/2011, BlackRock Group Ltd reported holding 5,292,767 shares with a market value of $502,018,942. This comprised 0.38% of the total portfolio. On 09/30/2011, BlackRock Group Ltd reported holding 5,265,202 shares with a market value of $377,988,856. This comprised 0.35% of the total portfolio. The net change in shares for this position over the two quarters is -27,565. About Company: 3M Co. conducts operations in electronics, telecommunications, industrial, consumer and office, health care, safety, and other markets. The Company’s businesses share technologies, manufacturing operations, brands, marketing channels, and other resources. 3M serves customers in countries located around the world.
  • Danaher Corp. (NYSE:DHR): On 06/30/2011, BlackRock Group Ltd reported holding 3,757,298 shares with a market value of $199,099,227. This comprised 0.15% of the total portfolio. On 09/30/2011, BlackRock Group Ltd reported holding 3,836,679 shares with a market value of $160,910,312. This comprised 0.15% of the total portfolio. The net change in shares for this position over the two quarters is 79,381. About Company: Danaher Corporation designs, manufactures, and markets professional instrumentation, medical technologies, industrial technologies, and tools and components.
  • Ppg Industries Inc. (NYSE:PPG): On 06/30/2011, BlackRock Group Ltd reported holding 992,828 shares with a market value of $90,138,855. This comprised 0.07% of the total portfolio. On 09/30/2011, BlackRock Group Ltd reported holding 964,209 shares with a market value of $68,131,011. This comprised 0.06% of the total portfolio. The net change in shares for this position over the two quarters is -28,619. About Company: PPG Industries, Inc. supplies products for the manufacturing, construction, automotive, chemical processing, and other industries worldwide. The Company makes protective and decorative coatings, flat glass, fabricated glass products, continuous-strand fiber glass products, and industrial and specialty chemicals.
  • Clorox Corporation (NYSE:CLX): On 06/30/2011, BlackRock Group Ltd reported holding 916,315 shares with a market value of $61,796,286. This comprised 0.05% of the total portfolio. On 09/30/2011, BlackRock Group Ltd reported holding 828,892 shares with a market value of $54,980,408. This comprised 0.05% of the total portfolio. The net change in shares for this position over the two quarters is -87,423. About Company: The Clorox Company produces and markets non-durable consumer products sold primarily through grocery and other retail stores. The Company’s principal products include household cleaning and bleach products, charcoal, cat litter, automotive care products, dressings, and trash bags. Clorox markets its products in the United States and other countries around the world.
  • Cooper Industries Plc (NYSE:CBE): On 06/30/2011, BlackRock Group Ltd reported holding 763,511 shares with a market value of $45,558,700. This comprised 0.03% of the total portfolio. On 09/30/2011, BlackRock Group Ltd reported holding 804,450 shares with a market value of $37,101,233. This comprised 0.03% of the total portfolio. The net change in shares for this position over the two quarters is 40,939. About Company: Cooper Industries PLC is a global, diversified electrical products and tools manufacturer. The Company’s products include electrical distribution equipment, wiring devices, support systems, hazardous duty electrical equipment, lighting fixtures, emergency lighting, fuses, nonpower hand tools and industrial power tools.
  • Textron Inc. (NYSE:TXT): On 06/30/2011, BlackRock Group Ltd reported holding 1,456,794 shares with a market value of $34,394,907. This comprised 0.03% of the total portfolio. On 09/30/2011, BlackRock Group Ltd reported holding 1,077,641 shares with a market value of $19,009,587. This comprised 0.02% of the total portfolio. The net change in shares for this position over the two quarters is -379,153. About Company: Textron Inc. is a global, multi-industry company with operations in aircraft, defense, industrial products, and finance. The Company’s products include airplanes, helicopters, weapons, and automotive products. Textron’s finance division offers asset based lending, aviation, distribution, golf, and resort finance, as well as structured capital.
  • Crane Co. (NYSE:CR): On 06/30/2011, BlackRock Group Ltd reported holding 18,478 shares with a market value of $912,998. This comprised 0% of the total portfolio. On 09/30/2011, BlackRock Group Ltd reported holding 18,478 shares with a market value of $659,480. This comprised 0% of the total portfolio. The net change in shares for this position over the two quarters is 0. About Company: Crane Co. manufactures engineered industrial products. The Company’s products include vending machines, airplane braking devices, pumps, valves, and other industrial goods. Crane serves the aerospace manufacturing, power generation, hydrocarbon processing, commercial and residential building, plumbing, and food and beverage production industries.
  • Sxc Health Solutions Corp. (NYSE:SXC): On 06/30/2011, BlackRock Group Ltd reported holding 12,825 shares with a market value of $0. This comprised 0% of the total portfolio. On 09/30/2011, BlackRock Group Ltd reported holding 12,825 shares with a market value of $141,075. This comprised 0% of the total portfolio. The net change in shares for this position over the two quarters is 0.

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

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