BlackRock
3M Co · NASDAQ
45,048,766 sh · $7.29B
BlackRock
13F filer
$7.29B
45,048,766 sh
Two Sigma Investments
13F filer
$104.9M
721,966 sh
Markel Group
13F filer
$18.0M
118,250 sh
Renaissance Technologies
13F filer
$13.7M
94,600 sh
Bridgewater Associates
13F filer
$1.5M
10,372 sh
Dodge & Cox
13F filer
$1.2M
7,558 sh
ARK Investment Management
13F filer
$76.1K
470 sh
BlackRock
3M Co · NASDAQ
45,048,766 sh · $7.29B
Dodge & Cox
3M Co · NASDAQ
7,558 sh · $1.2M
ARK Investment Management
3M Co · NASDAQ
470 sh · $76.1K
Dodge & Cox
3M Co · NASDAQ
7,676 sh · $1.1M
BlackRock
3M Co · NASDAQ
42,661,966 sh · $6.20B
Renaissance Technologies
3M Co · NASDAQ
94,600 sh · $13.7M
Two Sigma Investments
3M Co · NASDAQ
721,966 sh · $104.9M
ARK Investment Management
3M Co · NASDAQ
497 sh · $72.2K
Bridgewater Associates
3M Co · NASDAQ
10,372 sh · $1.5M
BlackRock
3M Co · NASDAQ
39,162,174 sh · $6.27B