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BLK

BlackRock, Inc.

NYSE · Financial Services · Asset Management · US

$1,122.29
−0.34%
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  • 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.

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  • Aug 19, 2026, 09:00 UTC

    BlackRock Canada announced August 2026 cash distributions for its iShares ETFs listed on the TSX or Cboe Canada, payable on August 31, 2026 to unitholders of record on August 26, 2026.

  • 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.