Universe · entity

ALLIANCEBERNSTEIN L.P.

Institutional manager (13F) · CIK 1109448
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $170.1B
#IssuerValueShares
1NVIDIA CORPORATION$18.4B98,528,485
2MICROSOFT CORP$15.4B31,797,302
3AMAZON COM INC$12.2B52,639,574
4ALPHABET INC$12.1B38,449,040
5APPLE INC$11.6B42,677,473
6BROADCOM INC$8.6B24,873,857
7META PLATFORMS INC$8.4B12,678,273
8VISA INC$6.4B18,156,647
9ELI LILLY & CO$4.8B4,427,764
10ISHARES TR$3.6B5,328,032
11NETFLIX INC.$3.5B36,808,610
12ALPHABET INC$3.3B10,522,677
13TAIWAN SEMICONDUCTOR MANUFAC$2.6B8,482,882
14COSTCO WHOLESALE CORPORATION$2.4B2,766,241
15PROGRESSIVE CORP$2.3B10,165,653
16HOME DEPOT INC$2.2B6,481,391
17MONSTER BEVERAGE CORP NEW$2.2B28,798,898
18BERKSHIRE HATHAWAY INC DEL$2.2B4,372,927
19INTUITIVE SURGICAL INC$2.2B3,812,663
20STRYKER CORPORATION$2.1B6,052,989
21UNITEDHEALTH GROUP INC$2.1B6,443,863
22ISHARES TR$2.1B24,661,661
23TJX COS INC NEW$2.0B12,914,448
24MCKESSON CORP$1.8B2,240,697
25VERTEX PHARMACEUTICALS INC$1.8B3,910,786
26JPMORGAN CHASE & CO$1.7B5,192,793
27VERISK ANALYTICS INC$1.6B7,240,310
28ISHARES TR$1.6B10,650,612
29CADENCE DESIGN SYSTEM INC$1.6B5,008,665
30GE AEROSPACE$1.5B4,747,065
31TESLA INC$1.5B3,243,437
32JOHNSON & JOHNSON$1.4B6,948,656
33SHOPIFY INC$1.4B8,813,928
34APPLIED MATLS INC$1.4B5,466,276
35DISNEY WALT CO$1.4B12,311,999
36VEEVA SYS INC$1.4B6,271,098
37BANK AMERICA CORP$1.4B25,105,080
38TEXAS INSTRS INC$1.3B7,631,442
39AUTOMATIC DATA PROCESSING IN$1.3B5,101,809
40MASTERCARD INCORPORATED$1.3B2,286,947
41CBOE GLOBAL MKTS INC$1.3B5,061,323
42THERMO FISHER SCIENTIFIC INC$1.3B2,190,608
43APPLOVIN CORP$1.3B1,880,716
44SCHWAB CHARLES CORP$1.3B12,529,509
45ABBVIE INC$1.2B5,416,509
46AB ACTIVE ETFS INC$1.2B30,355,259
47EXXON MOBIL CORP$1.2B9,982,243
48MERCK & CO INC$1.2B11,301,486
49WALMART INC$1.2B10,512,677
50WELLS FARGO & CO$1.2B12,532,684
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.