Holdings Channel
Size ($ in 1000's)
At 12/31/2023: $46,122,841
At 09/30/2023: $39,190,393

Combined Holding Report Includes:
abrdn plc
abrdn Inc.
abrdn Investment Management Ltd
abrdn Asia Ltd
abrdn Investments Ltd
Brighthouse Investment Advisers LLC
NORTHWESTERN MUTUAL LIFE INSURANCE CO

abrdn plc holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from abrdn plc 13F filings. Link to 13F filings: SEC filings

abrdn plc Top Holdings
As of  12/31/2023, below is a summary of the abrdn plc top holdings by largest position size, as per the latest 13f filing made by abrdn plc. In the abrdn plc-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 abrdn plc in that top holding, then the share count change between reporting periods, and finally the abrdn plc top holding position size for that row.

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
MICROSOFT CORP 7,452,101 -587,087 $2,802,288
     MSFT7,452,101-587,087$2,802,288
APPLE INC 12,299,567 +598,074 $2,368,036
     AAPL12,299,567+598,074$2,368,036
AMAZON COM INC 8,059,859 -952,816 $1,224,615
     AMZN8,059,859-952,816$1,224,615
NVIDIA CORPORATION 2,103,802 +497,814 $1,041,845
     NVDA2,103,802+497,814$1,041,845
ALPHABET INC 5,135,422 -1,040,411 $717,367
     GOOGL5,135,422-1,040,411$717,367
ALPHABET INC 4,793,937 -278,843 $675,610
     GOOG4,793,937-278,843$675,610
ELI LILLY & CO 1,098,115 +67,421 $640,113
     LLY1,098,115+67,421$640,113
UNITEDHEALTH GROUP INC 1,150,585 +9,989 $605,748
     UNH1,150,585+9,989$605,748
TESLA INC 2,233,104 +563,265 $554,882
     TSLA2,233,104+563,265$554,882
MERCK & CO INC 4,865,529 -147,306 $530,440
     MRK4,865,529-147,306$530,440
META PLATFORMS INC 1,359,150 +425,774 $481,085
     META1,359,150+425,774$481,085
MASTERCARD INCORPORATED 1,042,203 -379,349 $444,510
     MA1,042,203-379,349$444,510
BROADCOM INC 385,030 -218,385 $429,790
     AVGO385,030-218,385$429,790
PROCTER AND GAMBLE CO 2,746,345 -797,044 $402,449
     PG2,746,345-797,044$402,449
JPMORGAN CHASE & CO 2,288,745 +561,844 $389,316
     JPM2,288,745+561,844$389,316
COCA COLA CO 6,573,329 +910,872 $387,366
     KO6,573,329+910,872$387,366
ABBVIE INC 2,273,802 +830,187 $352,371
     ABBV2,273,802+830,187$352,371
VISA INC 1,352,738 +298,130 $352,185
     V1,352,738+298,130$352,185
ADOBE INC 561,008 +84,853 $334,697
     ADBE561,008+84,853$334,697
HOME DEPOT INC 939,106 +208,924 $325,447
     HD939,106+208,924$325,447
JOHNSON & JOHNSON 2,014,743 +1,027,441 $315,791
     JNJ2,014,743+1,027,441$315,791
FOMENTO ECONOMICO MEXICANO S 2,420,859 -318,364 $315,559
     FMX2,420,859-318,364$315,559
GILEAD SCIENCES INC 3,764,107 +1,772,887 $304,930
     GILD3,764,107+1,772,887$304,930
AMGEN INC 1,043,609 +626,810 $300,580
     AMGN1,043,609+626,810$300,580
BERKSHIRE HATHAWAY INC DEL      $284,568
     BRK.B623,834+225,534$222,497
     BRK.A114+59$62,071
CISCO SYS INC 5,559,687 +744,433 $280,875
     CSCO5,559,687+744,433$280,875
ACCENTURE PLC IRELAND 767,038 -292,440 $269,161
     ACN767,038-292,440$269,161
SOUTHERN COPPER CORP 3,041,233 +67,930 $261,759
     SCCO3,041,233+67,930$261,759
TRANE TECHNOLOGIES PLC 1,062,543 +76,205 $259,154
     TT1,062,543+76,205$259,154
DANAHER CORPORATION 1,094,425 -191,937 $253,184
     DHR1,094,425-191,937$253,184
SALESFORCE INC 942,658 +206,936 $248,051
     CRM942,658+206,936$248,051
TEXAS INSTRS INC 1,454,902 +288,938 $248,003
     TXN1,454,902+288,938$248,003
VERTEX PHARMACEUTICALS INC 581,018 +384,730 $236,410
     VRTX581,018+384,730$236,410
PEPSICO INC 1,384,263 +281,302 $235,103
     PEP1,384,263+281,302$235,103
MERCADOLIBRE INC 145,518 -8,593 $228,687
     MELI145,518-8,593$228,687
INTEL CORP 4,470,932 +1,131,087 $224,664
     INTC4,470,932+1,131,087$224,664
AMERICAN EXPRESS CO 1,192,011 -498,893 $223,311
     AXP1,192,011-498,893$223,311
TJX COS INC NEW 2,266,799 -2,178,062 $212,648
     TJX2,266,799-2,178,062$212,648
EQUINIX INC 259,662 +5,617 $209,129
     EQIX259,662+5,617$209,129
BOSTON SCIENTIFIC CORP 3,609,834 -3,105,060 $208,685
     BSX3,609,834-3,105,060$208,685
BANK AMERICA CORP 6,132,324 +1,318,369 $206,475
     BAC6,132,324+1,318,369$206,475
PROLOGIS INC. 1,534,243 -415,770 $204,515
     PLD1,534,243-415,770$204,515
AUTOMATIC DATA PROCESSING IN 868,999 +127,582 $202,451
     ADP868,999+127,582$202,451
ZOETIS INC 1,025,318 +249,308 $202,367
     ZTS1,025,318+249,308$202,367
LINDE PLC 488,670 +88,774 $200,702
     LIN488,670+88,774$200,702
S&P GLOBAL INC 454,487 +76,311 $200,211
     SPGI454,487+76,311$200,211
BRISTOL MYERS SQUIBB CO 3,893,320 +849,839 $199,766
     BMY3,893,320+849,839$199,766
ECOLAB INC 1,001,253 +110,835 $198,599
     ECL1,001,253+110,835$198,599
NEXTERA ENERGY INC 3,253,633 +644,217 $197,626
     NEE3,253,633+644,217$197,626
EXXON MOBIL CORP 1,970,583 +724,539 $197,019
     XOM1,970,583+724,539$197,019

See Full List: All Stocks Held By abrdn plc
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By abrdn plc

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