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SWT — STANLEY BLACK & DECKER INC

Reported value held$86.90M
Funds holding (latest)12
Sector—

SWT (STANLEY BLACK & DECKER INC) is tracked on HoldingsHub across five years of quarterly 13F filings. 12 funds have reported positions historically, with the sum of their latest reported stakes valued at $86.90M. No fund in our coverage reported a position in the latest filing period, which typically means the stock has fallen out of the tracked funds' portfolios rather than that it cannot be bought.

All figures on this page are computed from SEC Form 13F quarterly filings. 13F filers disclose long positions of $100,000 or more within 45 days of quarter end; short positions, options overlays and intra-quarter trades are not included, so treat the numbers as a quarterly snapshot of institutional ownership rather than real-time positioning.

Q3 2022 — 8 funds

FundSharesValuePortfolio WeightChange
JPMorgan Chase & Co history 290.72K $14.34M 0.00% Reduce
Bank of America Corp history 286.80K $14.14M 0.00% Add
D. E. Shaw & Co history 100.00K $4.86M 0.01% New
Two Sigma Investments history 69.32K $3.42M 0.01% Add
Wells Fargo & Co history 44.93K $2.22M 0.00% Add
Capital Research Global Investors history 35.45K $1.75M 0.00% Reduce
Morgan Stanley history 1.48K $72.00K 0.00% Reduce
Franklin Resources history 1.10K $54.00K 0.00% Reduce

Q2 2022 — 8 funds

FundSharesValuePortfolio WeightChange
Capital Research Global Investors history 362.66K $24.44M 0.01% Reduce
JPMorgan Chase & Co history 300.54K $20.25M 0.01% Reduce
Franklin Resources history 226.88K $15.29M 0.01% Hold
Bank of America Corp history 143.76K $9.69M 0.00% Add
Morgan Stanley history 25.84K $1.74M 0.00% Add
Two Sigma Investments history 19.32K $1.30M 0.00% New
Wells Fargo & Co history 10.75K $725.00K 0.00% Add
Invesco Ltd history 3.41K $230.00K 0.00% Reduce

Q1 2022 — 9 funds

FundSharesValuePortfolio WeightChange
Capital Research Global Investors history 1.12M $98.76M 0.03% Hold
Manulife Financial history 509.35K $44.59M 0.04% Hold
JPMorgan Chase & Co history 368.50K $32.40M 0.01% Reduce
Franklin Resources history 226.25K $19.89M 0.01% New
Bank of America Corp history 138.60K $12.19M 0.00% Add
Invesco Ltd history 42.51K $3.74M 0.00% Reduce
Wells Fargo & Co history 9.88K $868.00K 0.00% Add
Morgan Stanley history 2.72K $236.00K 0.00% Reduce
Fidelity Management & Research (FMR) history 1 $0 — New

Q4 2021 — 7 funds

FundSharesValuePortfolio WeightChange
Capital Research Global Investors history 1.12M $122.59M 0.03% Hold
Manulife Financial history 511.05K $55.72M 0.05% Hold
JPMorgan Chase & Co history 370.70K $40.48M 0.01% Add
Invesco Ltd history 171.11K $18.68M 0.01% Reduce
Bank of America Corp history 121.07K $13.22M 0.00% Add
Morgan Stanley history 23.83K $2.60M 0.00% Add
Wells Fargo & Co history 9.01K $983.00K 0.00% Add

Q3 2021 — 8 funds

FundSharesValuePortfolio WeightChange
Capital Research Global Investors history 1.12M $118.15M 0.03% New
Manulife Financial history 509.05K $53.57M 0.05% New
JPMorgan Chase & Co history 331.08K $34.84M 0.01% New
Invesco Ltd history 193.51K $20.36M 0.01% New
Bank of America Corp history 119.20K $12.54M 0.00% New
Morgan Stanley history 22.40K $2.37M 0.00% New
Citigroup Inc history 11.63K $1.22M 0.00% New
Wells Fargo & Co history 8.70K $915.00K 0.00% New

New Positions (latest)

No fund opened a new position this quarter.

Fully Exited (vs previous quarter)

No tracked fund fully exited this quarter.

Fund Position History — shares by quarter (top 12 funds)

FundQ3 2022Q2 2022Q1 2022Q4 2021Q3 2021
JPMorgan Chase & Co 290.72K 300.54K 368.50K 370.70K 331.08K
Bank of America Corp 286.80K 143.76K 138.60K 121.07K 119.20K
D. E. Shaw & Co 100.00K — — — —
Two Sigma Investments 69.32K 19.32K — — —
Wells Fargo & Co 44.93K 10.75K 9.88K 9.01K 8.70K
Capital Research Global Investors 35.45K 362.66K 1.12M 1.12M 1.12M
Morgan Stanley 1.48K 25.84K 2.72K 23.83K 22.40K
Franklin Resources 1.10K 226.88K 226.25K — —
Fidelity Management & Research (FMR) — — 1 — —
Citigroup Inc — — — — 11.63K
Invesco Ltd — 3.41K 42.51K 171.11K 193.51K
Manulife Financial — — 509.35K 511.05K 509.05K

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