Consolidated Edison Inc
- Stock Issuer and Owners
Consolidated Edison Inc |
Ticker | ED |
CIK # | 0001047862 |
CUSIP | 209115104 |
Sector | Energy & Transportation - Electric & Other Services Combined |
Address | 4 Irving Place Room 1618 S, New York, NY 10003 |
Source |
[EDGAR]
|
Form 13F Holdings |
Firm |
Period |
DFND |
Voting |
Shares |
BlackRock Inc. |
[2023-03-31]
|
SOLE |
40,727,292.0 |
44,435,884.0 |
Vanguard Group Inc |
[2023-03-31]
|
SOLE |
0.0 |
42,145,054.0 |
State Street Corp |
[2023-03-31]
|
DFND |
21,405,348.0 |
26,003,242.0 |
Geode Capital Management LLC |
[2023-03-31]
|
DFND |
7,924,034.0 |
7,949,371.0 |
Legal & General Group Plc |
[2023-03-31]
|
DFND |
4,779,344.0 |
6,111,250.0 |
Envestnet Asset Management Inc |
[2023-03-31]
|
SOLE |
4,786,202.0 |
4,786,202.0 |
Northern Trust Corp |
[2023-03-31]
|
DFND |
807,245.0 |
4,063,277.0 |
Morgan Stanley |
[2023-03-31]
|
DFND |
2,870,586.0 |
3,971,554.0 |
Lazard Asset Management LLC |
[2023-03-31]
|
SOLE |
3,486,616.0 |
3,661,250.0 |
Invesco Ltd. |
[2023-03-31]
|
DFND |
0.0 |
3,074,293.0 |
Bank of New York Mellon Corp |
[2023-03-31]
|
DFND |
2,246,339.0 |
2,830,594.0 |
UBS Asset Management Americas Inc |
[2023-03-31]
|
DFND |
1,052,887.0 |
2,519,920.0 |
Amundi |
[2023-03-31]
|
DFND |
1,997,736.0 |
2,442,594.0 |
California Public Employees Retirement System |
[2023-03-31]
|
SOLE |
2,259,805.0 |
2,259,805.0 |
Charles Schwab Investment Management Inc |
[2023-03-31]
|
SOLE |
1,992,912.0 |
1,992,912.0 |
Goldman Sachs Group Inc |
[2023-03-31]
|
DFND |
1,894,120.0 |
1,949,387.0 |
Proshare Advisors LLC |
[2023-03-31]
|
SOLE |
1,913,733.0 |
1,913,733.0 |
Deutsche Bank AG |
[2023-03-31]
|
DFND |
325,042.0 |
1,670,155.0 |
Vanguard Group Inc |
[2023-03-31]
|
DFND |
0.0 |
1,645,487.0 |
Franklin Resources Inc |
[2023-03-31]
|
DFND |
1,508,445.0 |
1,582,378.0 |
Royal Bank of Canada |
[2023-03-31]
|
DFND |
1,557,728.0 |
1,574,576.0 |
Nuveen Asset Management LLC |
[2023-03-31]
|
DFND |
1,546,475.0 |
1,546,475.0 |
UBS Asset Management Americas Inc |
[2023-03-31]
|
SOLE |
960,940.0 |
1,544,894.0 |
Swiss National Bank |
[2023-03-31]
|
SOLE |
1,408,200.0 |
1,408,200.0 |
APG Asset Management N.V. |
[2023-03-31]
|
DFND |
1,346,338.0 |
1,346,338.0 |
Sumitomo Mitsui Trust Holdings, Inc. |
[2023-03-31]
|
DFND |
1,327,144.0 |
1,327,144.0 |
JPMorgan Chase & Co |
[2023-03-31]
|
DFND |
983,052.0 |
1,272,700.0 |
Bank of America Corp /DE/ |
[2023-03-31]
|
DFND |
184,070.0 |
1,193,082.0 |
HSBC Holdings PLC |
[2023-03-31]
|
SOLE |
1,141,459.0 |
1,159,477.0 |
Credit Suisse AG |
[2023-03-31]
|
DFND |
722,049.0 |
1,047,720.0 |
Prev | Page 1 | Next
|
{"search": "/search", "clicked": "/clicked", "portfolio_add": "/portfolio-add", "portfolio_remove": "/portfolio-remove", "portfolio_create": "/portfolio-create", "portfolio_activate": "/portfolio-activate", "portfolio_delete": "/portfolio-delete", "portfolio_rename": "/portfolio-rename", "portfolio_color": "/portfolio-color", "home_filter": "/home-filter", "htmlspeed": "/htmlspeed", "add_tag_firm": "/add-tag-firm", "add_tag_click": "/add-tag-click", "copy_aum": "/copy-aum", "stripe_checkout": "/stripe-checkout", "update_card": "/update-card"}
{"uid": 99295973, "pid": -1, "pid_a": [], "name": "", "email": "", "blacklist_f": false, "paywall_f": false, "paywall_n": 0, "random_n": 0}
False
129949871