Skip to content

BLK

BlackRock, Inc.

NYSE · Financial Services · Asset Management · US

$1,069.78
+1.50%
Ask drillr
  • Aug 20, 2026, 09:04 UTC

    BlackRock increased its long position in Bilibili Inc. from 4.81% to 5.15% on August 17, 2026, as disclosed by the Hong Kong Stock Exchange.

  • Aug 20, 2026, 07:32 UTC

    BlackRock and its affiliated entities increased their stake in Seven & i Holdings from 5.1% to 6.21%, as disclosed in a filing.

  • Aug 20, 2026, 01:46 UTC

    Fisher Investments made a large investment in long-dated U.S. Treasury bonds via a BlackRock ETF, driving a record $4 billion inflow.

  • Aug 19, 2026, 12:41 UTC

    BlackRock reduced its stake in B3 S.A. – Brasil, Bolsa, Balcão to 9.959%.

  • Aug 19, 2026, 10:00 UTC

    IDFC First Bank raised USD 500 million through its maiden international bond issuance via its IFSC Banking Unit at GIFT City, with a three-year tenure and a fixed coupon of 5.625 percent.

    Source:
  • Aug 19, 2026, 05:02 UTC

    Strategy disclosed that 12 of its 15 largest institutional holders increased their MSTR positions in Q2 2026, with combined holdings rising by roughly $700 million.

  • Aug 19, 2026, 04:04 UTC

    BlackRock's division and Oaktree Capital have acquired control of MBS Group.

  • Aug 18, 2026, 12:43 UTC

    BlackRock Inc. disclosed a new position in Palo Alto Networks, Inc., buying 75,753,509 shares valued at approximately $25.83 billion during the second quarter, representing a 9.29% ownership stake.

  • Aug 18, 2026, 10:05 UTC

    BlackRock Inc. disclosed a new minority stake in Phillips 66, buying 34,112,861 shares valued at approximately $5.77 billion during the second quarter.

  • Aug 18, 2026, 09:30 UTC

    BlackRock Inc. disclosed a new stake in Chevron Corporation, purchasing 154,824,622 shares valued at approximately $25.66 billion, representing 7.77% ownership, in the most recent quarter.

  • Aug 18, 2026, 09:05 UTC

    BlackRock increased its long position in Bilibili Inc. to 5.07% on August 13, 2026, as disclosed by the Hong Kong Stock Exchange.

  • Aug 18, 2026, 07:59 UTC

    BlackRock Inc. disclosed a new $6.98 billion investment in American Electric Power Company, Inc., acquiring 51,024,057 shares, representing a 9.37% stake, as reported in its 13F filing for the second quarter.

  • Aug 18, 2026, 07:59 UTC

    BlackRock Inc. acquired a new position of 26,252,335 shares in Intuit Inc., valued at approximately $6.85 billion, representing about 9.60% ownership, as disclosed in its Q2 13F filing.

  • Aug 18, 2026, 07:57 UTC

    BlackRock Inc. disclosed a new minority stake in Deere & Company, purchasing 18,544,770 shares valued at approximately $11.76 billion, representing about 6.87% ownership.

  • Aug 18, 2026, 07:57 UTC

    BlackRock Inc. reduced its stake in S&P Global Inc. by 0.4% during the quarter, selling 89,866 shares, and now holds 23,981,586 shares (approximately 8.13% of the company).

  • Aug 18, 2026, 07:57 UTC

    BlackRock Inc. reduced its stake in Arista Networks, Inc. by 0.6% during the quarter, selling 523,799 shares, and now holds 91,383,843 shares representing 7.26% ownership.

  • Aug 18, 2026, 07:57 UTC

    BlackRock Inc. disclosed a new stake in American Express Company, buying 42,006,392 shares valued at approximately $14.21 billion during the second quarter, representing about 6.22% ownership.

  • Aug 18, 2026, 07:55 UTC

    BlackRock Inc. acquired a new stake in Prologis, Inc. during the undefined quarter, purchasing 103,392,538 shares valued at approximately $14,006,587,000, according to a recent SEC filing.

  • Aug 18, 2026, 07:55 UTC

    BlackRock Inc. disclosed a new $6.63 billion minority stake in T-Mobile US, Inc., acquiring 39,499,642 shares, according to a Form 13F filing.

  • Aug 18, 2026, 07:55 UTC

    BlackRock Inc. disclosed a new stake of 32,172,263 shares in The PNC Financial Services Group, Inc, valued at approximately $7.92 billion, in its Form 13F filing with the SEC.

  • Aug 18, 2026, 07:55 UTC

    BlackRock Inc. acquired a new position in Air Products and Chemicals, Inc. during the second quarter, buying 18,316,711 shares valued at approximately $5.37 billion, as disclosed in its 13F filing with the SEC.