The PNC Financial Services Group, Inc.
Quarter-over-quarter position changes
| Action | Company | Flow |
|---|---|---|
| Added | 464287614 | $1.13B |
| Added | 922908736 | $976.75M |
| Added | iShares MSCI UAE ETF | $598.92M |
| Added | 922908629 | $589.08M |
| Added | 025072349 | $451.50M |
| Trimmed | Global X Artificial Intelligence & Technology ETF | $362.08M |
| Exited | HONEYWELL INTERNATIONAL INC | $296.09M |
| Trimmed | 464287200 | $261.29M |
| Added | 92204A702 | $242.44M |
| Added | 921910816 | $183.10M |
| Added | ADVANCED MICRO DEVICES INC | $178.75M |
| Trimmed | 78462F103 | $176.15M |
| Added | 46434G103 | $170.18M |
| New | HONEYWELL INTERNATIONAL INC | $166.91M |
| New | Honeywell Aerospace Inc.HONA | $164.84M |
| Trimmed | iShares MSCI UAE ETF | $160.87M |
| Added | Invesco Bloomberg Enhanced Fallen Angels ETF | $156.62M |
| Added | iShares MSCI UAE ETF | $147.89M |
| Added | NVIDIA Corp | $130.94M |
| Trimmed | 97717X669 | $115.98M |
| New | 87283Q107 | $115.54M |
| Trimmed | 46090E103 | $110.35M |
| Added | 464287226 | $107.66M |
| Trimmed | PROCTER & GAMBLE Co | $106.62M |
| Added | 464287655 | $102.36M |
| Added | TEXAS INSTRUMENTS INC | $98.03M |
| Added | 25434V807 | $93.32M |
| Trimmed | EXXON MOBIL CORP | $88.11M |
| Trimmed | Kontoor Brands, Inc. | $84.60M |
| Trimmed | Apple Inc. | $82.91M |
| Trimmed | JOHNSON & JOHNSON | $81.50M |
| Added | KLA CORP | $78.78M |
| Trimmed | JPMORGAN CHASE & CO | $78.17M |
| Added | APPLIED MATERIALS INC /DE | $73.10M |
| Trimmed | 46434V621 | $70.72M |
| Trimmed | Comcast Corp. | $69.78M |
| Trimmed | 464287804 | $69.11M |
| Trimmed | Alphabet Inc. | $68.47M |
| Trimmed | Visa Inc | $65.43M |
| Trimmed | LAM RESEARCH CORP | $61.93M |
| Added | 092528603 | $61.65M |
| Added | 69344A107 | $61.19M |
| Added | COCA COLA CO | $61.08M |
| Trimmed | STARBUCKS CORP | $60.63M |
| Added | STRYKER CORP | $59.78M |
| Trimmed | 46138G649 | $59.07M |
| Added | 464287457 | $58.32M |
| Trimmed | 46434V456 | $53.88M |
| Added | 922908637 | $52.53M |
| Added | 464287507 | $51.62M |