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Size ($ in 1000's)
At 12/31/2023: $27,840,459 At 09/30/2023: $26,686,957
Lord Abbett & CO. LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Lord Abbett & CO. LLC 13F filings.
Link to 13F filings: SEC filings
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As of 12/31/2023, below is a summary of the Lord Abbett & CO. LLC top holdings by largest position size, as per the latest 13f filing made by Lord Abbett & CO. LLC.
In the Lord Abbett & CO. LLC-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares
held by Lord Abbett & CO. LLC in that top holding, then the share count change between reporting periods, and finally the Lord Abbett & CO. LLC top holding position size
for that row.
Entity | Amount | Change
09/30/2023 to 12/31/2023 |
Position Size
($ in 1000's) |
Microsoft Corp |
2,349,766 |
-320,814 |
$883,606 | MSFT | 2,349,766 | -320,814 | $883,606 | NVIDIA Corp |
1,346,217 |
-256,439 |
$666,673 | NVDA | 1,346,217 | -256,439 | $666,673 | JPMorgan Chase & Co |
2,255,458 |
-100,049 |
$383,653 | JPM | 2,255,458 | -100,049 | $383,653 | Apple Inc |
1,847,760 |
-1,233,506 |
$355,749 | AAPL | 1,847,760 | -1,233,506 | $355,749 | UnitedHealth Group Inc |
662,242 |
-45,032 |
$348,650 | UNH | 662,242 | -45,032 | $348,650 | Parker Hannifin Corp |
754,524 |
-71,371 |
$347,609 | PH | 754,524 | -71,371 | $347,609 | Comcast Corp |
6,708,652 |
+397,356 |
$294,174 | CMCSA | 6,708,652 | +397,356 | $294,174 | Amazon.com Inc |
1,869,407 |
-523,165 |
$284,037 | AMZN | 1,869,407 | -523,165 | $284,037 | AbbVie Inc |
1,776,380 |
-203,968 |
$275,286 | ABBV | 1,776,380 | -203,968 | $275,286 | Charles Schwab Corp The |
3,945,458 |
+1,053,547 |
$271,448 | SCHW | 3,945,458 | +1,053,547 | $271,448 | Eli Lilly & Co |
453,068 |
-151,837 |
$264,102 | LLY | 453,068 | -151,837 | $264,102 | MORGAN STANLEY |
2,799,202 |
-316,823 |
$261,026 | MS | 2,799,202 | -316,823 | $261,026 | Shopify Inc |
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$257,588 | SHOP | 2,593,482 | -291,248 | $202,032 | CV | 58,755,000 | -2,077,000 | $55,556 | Alphabet Inc |
1,798,168 |
-748,965 |
$251,186 | GOOGL | 1,798,168 | -748,965 | $251,186 | Arista Networks Inc |
1,020,302 |
-35,649 |
$240,291 | ANET | 1,020,302 | -35,649 | $240,291 | EXXON MOBIL CORP |
2,365,863 |
+995,740 |
$236,539 | XOM | 2,365,863 | +995,740 | $236,539 | Bank of America Corp |
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$229,026 | BAC | 6,286,853 | +1,116,578 | $211,678 | BAC.PRL | 14,371 | -314 | $17,348 | Shell PLC |
3,463,945 |
+132,191 |
$227,928 | SHEL | 3,463,945 | +132,191 | $227,928 | Mastercard Inc |
533,380 |
-3,558 |
$227,492 | MA | 533,380 | -3,558 | $227,492 | Walmart Inc |
1,333,678 |
-131,372 |
$210,254 | WMT | 1,333,678 | -131,372 | $210,254 | Roper Technologies Inc |
384,709 |
-10,974 |
$209,732 | ROP | 384,709 | -10,974 | $209,732 | Ameriprise Financial Inc |
532,464 |
-56,054 |
$202,245 | AMP | 532,464 | -56,054 | $202,245 | Lam Research Corp |
257,652 |
-103,488 |
$201,809 | LRCX | 257,652 | -103,488 | $201,809 | Meta Platforms Inc |
560,765 |
-31,563 |
$198,489 | META | 560,765 | -31,563 | $198,489 | Uber Technologies Inc |
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$195,454 | UBER | 2,456,765 | +385,225 | $151,263 | CV | 43,362,000 | -7,779,000 | $44,191 | Accenture PLC |
538,324 |
+4,819 |
$188,903 | ACN | 538,324 | +4,819 | $188,903 | Broadcom Inc |
166,060 |
+15,013 |
$185,365 | AVGO | 166,060 | +15,013 | $185,365 | MercadoLibre Inc |
116,355 |
-5,797,499 |
$182,856 | MELI | 116,355 | +22,501 | $182,856 | Philip Morris International Inc |
1,940,951 |
+707,729 |
$182,605 | PM | 1,940,951 | +707,729 | $182,605 | NextEra Energy Inc |
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$179,967 | NEE | 1,565,906 | -1,228,926 | $95,113 | NEE.PRR | 2,225,974 | +2,019,542 | $84,854 | Saia Inc |
410,154 |
+208,288 |
$179,737 | SAIA | 410,154 | +208,288 | $179,737 | TARGET CORP |
1,256,625 |
+757,301 |
$178,969 | TGT | 1,256,625 | +757,301 | $178,969 | Palo Alto Networks Inc |
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$178,918 | PANW | 401,970 | +3,799 | $118,533 | CV | 20,363,000 | -6,593,000 | $60,385 | Reliance Steel & Aluminum Co |
633,740 |
+1,876 |
$177,245 | RS | 633,740 | +1,876 | $177,245 | MongoDB Inc |
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$176,325 | MDB | 347,172 | +11,270 | $141,941 | CV | 17,392,000 | +130,000 | $34,384 | Chesapeake Energy Corp |
2,291,538 |
-431,918 |
$176,311 | CHK | 2,291,538 | -431,918 | $176,311 | Union Pacific Corp |
715,635 |
+85,035 |
$175,774 | UNP | 715,635 | +85,035 | $175,774 | Abbott Laboratories |
1,595,123 |
+26,088 |
$175,575 | ABT | 1,595,123 | +26,088 | $175,575 | Rambus Inc |
2,499,638 |
+978,484 |
$170,600 | RMBS | 2,499,638 | +978,484 | $170,600 | Micron Technology Inc |
1,996,094 |
+225,197 |
$170,347 | MU | 1,996,094 | +225,197 | $170,347 | Adobe Inc |
284,764 |
-161,981 |
$169,890 | ADBE | 284,764 | -161,981 | $169,890 | S&P Global Inc |
383,061 |
+31,975 |
$168,746 | SPGI | 383,061 | +31,975 | $168,746 | Chubb Ltd |
730,741 |
+1,341 |
$165,147 | CB | 730,741 | +1,341 | $165,147 | Laboratory Corp of America Holdings |
723,685 |
+408,527 |
$164,486 | LH | 723,685 | +408,527 | $164,486 | Norfolk Southern Corp |
676,509 |
+5,679 |
$159,913 | NSC | 676,509 | +5,679 | $159,913 | PDD Holdings Inc |
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$159,655 | PDD | 880,356 | +524,926 | $128,805 | CV | 19,454,000 | +5,113,000 | $30,850 | Northrop Grumman Corp |
339,161 |
+96,661 |
$158,775 | NOC | 339,161 | +96,661 | $158,775 | Taiwan Semiconductor Manufacturing Co Ltd |
1,518,281 |
+286,184 |
$157,901 | TSM | 1,518,281 | +286,184 | $157,901 | Lowe s Cos Inc |
705,078 |
-28,949 |
$156,915 | LOW | 705,078 | -28,949 | $156,915 | Synopsys Inc |
303,591 |
-5,060 |
$156,322 | SNPS | 303,591 | -5,060 | $156,322 |
See Full List: All Stocks Held By Lord Abbett & CO. LLC
— Including: Biggest new positions Biggest exits Biggest increased positions Biggest decreased positions
See Details: Top 10 Stocks Held By Lord Abbett & CO. LLC
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