BlackRock
Amgen Inc · NASDAQ
49,362,016 sh · $17.87B
BlackRock
13F filer
$17.87B
49,362,016 sh
Two Sigma Investments
13F filer
$409.3M
1,130,381 sh
ARK Investment Management
13F filer
$14.8M
45,358 sh
Bridgewater Associates
13F filer
$5.2M
14,774 sh
Dodge & Cox
13F filer
$4.6M
12,817 sh
BlackRock
Amgen Inc · NASDAQ
49,362,016 sh · $17.87B
Two Sigma Investments
Amgen Inc · NASDAQ
1,130,381 sh · $409.3M
Dodge & Cox
Amgen Inc · NASDAQ
12,817 sh · $4.6M
Dodge & Cox
Amgen Inc · NASDAQ
13,367 sh · $4.7M
Two Sigma Investments
Amgen Inc · NASDAQ
88,080 sh · $31.0M
Bridgewater Associates
Amgen Inc · NASDAQ
14,774 sh · $5.2M
BlackRock
Amgen Inc · NASDAQ
47,100,472 sh · $16.57B
BlackRock
Amgen Inc · NASDAQ
47,396,138 sh · $15.51B
ARK Investment Management
Amgen Inc · NASDAQ
45,358 sh · $14.8M
Dodge & Cox
Amgen Inc · NASDAQ
13,367 sh · $4.4M