abrdn plc 13F Portfolio

EntityCategoryQoQ AUM ChangeAUM (13F)# of HoldingsPerformance RankEquities Trend
AP
abrdn plc
Institutional Filer 4.11%$61.94B931

Current Portfolio Holdings

Showing all 931 reported positions by value

#StockCompany NameSectorShares HeldMarket Value% of Portfolio
1AAPLApple Inc.Technology16.7M$4.23B6.83%
2NVDANVIDIA CorporationTechnology20.2M$3.52B5.69%
3MSFTMicrosoft CorporationTechnology8.7M$3.24B5.23%
4GOOGLAlphabet Inc.Technology8.2M$2.37B3.82%
5AMZNAmazon.com, Inc.Consumer Cyclical11.3M$2.36B3.81%
6GOOGAlphabet Inc.Technology6.8M$1.96B3.16%
7TSLATesla, Inc.Consumer Cyclical4.3M$1.60B2.58%
8AVGOBroadcom Inc.Technology4.4M$1.35B2.17%
9METAMeta Platforms, Inc.Technology1.8M$1.01B1.64%
10JPMJPMorgan Chase & Co.Financial Services2.4M$694.6M1.12%
11LLYEli Lilly and CompanyHealthcare724K$666.2M1.08%
12JNJJohnson & JohnsonHealthcare2.6M$636.9M1.03%
13MRKMerck & Co., Inc.Healthcare4.7M$561.2M0.91%
14VVisa Inc.Financial Services1.6M$490.1M0.79%
15ABBVAbbVie Inc.Healthcare2.2M$480.2M0.78%
Showing 1 to 15 of 931 holdings