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AMERIPRISE FINANCIAL INC
Location Minnesota
Latest Filing Date 2024-08-14
Latest Quarterly Report Date 2024-06-30
AUM in USD 368.7 bil.
Number of equities 3778
stockdot.io
+ - C

Assets Under Management in USD

1.0 mil. 22.0 mil. 485.9 mil. 10.7 bil. 236.1 bil. 5.2 tril.

Number of Holdings

1 6 39 251 1585 10002

Top 3778 holdings for AMERIPRISE FINANCIAL INC

Stock Amount Change in
Shares 1 yr
Value in USD
MICROSOFT Corp 34511544 -1.7% 15.4 bil.
NVIDIA Corp 102422225 973.9% 12.7 bil.
APPLE Inc 51765589 3.9% 10.9 bil.
AMAZON.COM Inc 40973804 13.4% 7.9 bil.
ALPHABET INC-CL A 37752384 2.4% 6.9 bil.
META PLATFORMS INC-CLASS A 9532304 23.4% 4.8 bil.
JPMORGAN CHASE & CO 23447394 0.8% 4.7 bil.
BROADCOM Inc 2775992 -38.4% 4.5 bil.
ISHARES CORE S&P 500 ETF 7017271 18.0% 3.8 bil.
VISA INC-CLASS A SHARES 14610590 5.5% 3.8 bil.
LAM RESEARCH Corp 3096604 -40.9% 3.3 bil.
ALPHABET INC-CL C 15672930 -16.0% 2.9 bil.
EXXON MOBIL Corp 24307844 6.9% 2.8 bil.
ELI LILLY & CO 3027901 -26.3% 2.7 bil.
CHEVRON Corp 17111051 16.0% 2.7 bil.
THE PROCTER & GAMBLE CO 16109707 -3.0% 2.7 bil.
ABBVIE Inc 14049623 1.3% 2.4 bil.
INVESCO QQQ TRUST SERIES 1 4966637 23.7% 2.4 bil.
WALMART Inc 33715969 160.7% 2.3 bil.
MASTERCARD INC - A 5082729 -2.3% 2.2 bil.
BANK OF AMERICA Corp 53844019 12.3% 2.1 bil.
WELLS FARGO & CO 35869641 -4.5% 2.1 bil.
JOHNSON & JOHNSON 14374397 1.2% 2.1 bil.
MERCK & CO. Inc 16625085 -2.4% 2.1 bil.
ELEVANCE HEALTH Inc 3791793 1.8% 2.1 bil.
VANGUARD S&P 500 ETF 3997372 10.3% 2.0 bil.
APPLIED MATERIALS Inc 8433016 0.8% 2.0 bil.
HOME DEPOT Inc 5774083 -4.5% 2.0 bil.
QUALCOMM Inc 9779446 -33.1% 1.9 bil.
UNITEDHEALTH GROUP Inc 3772487 21.6% 1.9 bil.
COMCAST CORP-CLASS A 48713887 -3.1% 1.9 bil.
SPDR S&P 500 ETF TRUST 3469571 28.7% 1.9 bil.
UNION PACIFIC Corp 8312154 -1.0% 1.9 bil.
CISCO SYSTEMS Inc 38343240 -22.6% 1.8 bil.
ADOBE Inc 3269318 -23.1% 1.8 bil.
HONEYWELL INTERNATIONAL Inc 8365840 25.8% 1.8 bil.
MARSH & MCLENNAN COS 7936217 -3.8% 1.7 bil.
EOG RESOURCES Inc 12311541 15.7% 1.5 bil.
VANGUARD VALUE ETF 9530741 14.8% 1.5 bil.
LINDE plc 3449218 -1.5% 1.5 bil.
ANALOG DEVICES Inc 6524834 -22.5% 1.5 bil.
EBAY Inc 25964196 192.3% 1.4 bil.
THERMO FISHER SCIENTIFIC Inc 2481257 56.1% 1.4 bil.
TJX COMPANIES Inc 12241176 138.2% 1.3 bil.
COSTCO WHOLESALE Corp 1573934 -2.8% 1.3 bil.
BLACKROCK Inc 1665044 11.5% 1.3 bil.
THE COCA-COLA CO 20238252 -24.8% 1.3 bil.
VANGUARD GROWTH ETF 3425420 15.2% 1.3 bil.
INTL BUSINESS MACHINES Corp 7366715 -7.1% 1.3 bil.
MORGAN STANLEY 13015331 -27.3% 1.3 bil.
CHUBB LTD 4933389 -12.9% 1.3 bil.
ISHARES MBS ETF 13581137 11.7% 1.2 bil.
PARKER HANNIFIN Corp 2459923 -34.6% 1.2 bil.
AMERICAN TOWER Corp 6395906 135.2% 1.2 bil.
PALO ALTO NETWORKS Inc 3603461 -19.9% 1.2 bil.
MCDONALD'S Corp 4761625 8.4% 1.2 bil.
ADVANCED MICRO DEVICES 7495184 -3.4% 1.2 bil.
BECTON DICKINSON AND CO 5055354 52.0% 1.2 bil.
KLA Corp 1421342 -32.7% 1.2 bil.
ACCENTURE PLC-CL A 3827809 -8.6% 1.2 bil.
MONDELEZ INTERNATIONAL INC-A 17175170 12.2% 1.1 bil.
SALESFORCE Inc 4378826 62.9% 1.1 bil.
TRANE TECHNOLOGIES plc 3417674 -13.4% 1.1 bil.
S&P GLOBAL Inc 2516811 18.5% 1.1 bil.
ABBOTT LABORATORIES 10675827 -10.7% 1.1 bil.
VALERO ENERGY Corp 6956743 0.8% 1.1 bil.
INTUIT Inc 1616811 -23.5% 1.1 bil.
ISHARES 7-10 YEAR TREASURY B 11330200 87.4% 1.1 bil.
INTUITIVE SURGICAL Inc 2359782 -21.4% 1.0 bil.
CME GROUP Inc 5283196 53.0% 1.0 bil.
ORACLE Corp 7182917 -4.7% 1.0 bil.
CITIGROUP Inc 15850978 48.0% 1.0 bil.
ISHARES CORE U.S. AGGREGATE 10171335 10.9% 992.8 mil.
THE WALT DISNEY CO 9953903 97.6% 988.3 mil.
AT&T Inc 51558884 179.9% 985.3 mil.
WASTE MANAGEMENT Inc 4523324 -12.1% 969.4 mil.
AUTOMATIC DATA PROCESSING 4065308 34.5% 965.0 mil.
VERTEX PHARMACEUTICALS Inc 2054781 -32.0% 963.1 mil.
TECHNOLOGY SELECT SECT SPDR 4212054 39.7% 955.5 mil.
TE CONNECTIVITY LTD 6280632 7.8% 944.8 mil.
TESLA Inc 4754950 -16.0% 941.0 mil.
PROLOGIS Inc 8278094 -7.0% 928.0 mil.
LOCKHEED MARTIN Corp 1942658 -18.4% 902.7 mil.
CONOCOPHILLIPS 7729598 4.4% 883.6 mil.
UBER TECHNOLOGIES Inc 11893429 -31.4% 864.4 mil.
MEDTRONIC plc 10914712 -34.3% 859.1 mil.
UNITED PARCEL SERVICE-CL B 6249416 -27.5% 855.2 mil.
VANGUARD MID-CAP ETF 3516537 5.5% 851.4 mil.
PEPSICO Inc 5130517 -10.9% 846.0 mil.
TEXAS INSTRUMENTS Inc 4402741 -10.7% 845.9 mil.
SYNOPSYS Inc 1409940 -16.9% 838.9 mil.
RTX Corp 8284944 -12.3% 831.7 mil.
ISHARES RUSSELL 1000 GROWTH 2271191 48.2% 828.0 mil.
ISHARES MSCI USA QUALITY FAC 4808994 67.1% 821.4 mil.
MARVELL TECHNOLOGY Inc 11623872 -24.8% 812.5 mil.
T-MOBILE US Inc 4546497 0.4% 801.0 mil.
MARATHON PETROLEUM Corp 4550247 -20.5% 789.4 mil.
BOOKING HOLDINGS Inc 195408 9.7% 774.1 mil.
NEXTERA ENERGY Inc 10797097 -4.3% 765.2 mil.
NETFLIX Inc 1120690 21.3% 756.9 mil.