Universe · entity

Aberdeen Group plc

Institutional manager (13F) · CIK 1716774
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $35.3B
#IssuerValueShares
1APPLE INC$4.2B16,659,996
2NVIDIA CORPORATION$3.5B20,190,892
3MICROSOFT CORP$3.2B8,748,165
4ALPHABET INC$2.4B8,224,595
5AMAZON COM INC$2.4B11,320,257
6ALPHABET INC$2.0B6,824,570
7TESLA INC$1.6B4,305,953
8BROADCOM INC$1.3B4,350,656
9META PLATFORMS INC$1.0B1,772,193
10JPMORGAN CHASE & CO$695M2,361,373
11ELI LILLY & CO$666M724,353
12JOHNSON & JOHNSON$637M2,605,500
13MERCK & CO INC$561M4,665,193
14VISA INC$490M1,621,644
15ABBVIE INC$480M2,207,913
16CISCO SYS INC$475M6,125,704
17WALMART INC$475M3,824,175
18MASTERCARD INCORPORATED$442M885,384
19PROCTER & GAMBLE CO$393M2,724,187
20COCA COLA CO$378M4,972,713
21CATERPILLAR INC$366M517,089
22COSTCO WHOLESALE CORPORATION$353M354,467
23GE AEROSPACE$348M1,225,718
24WELLTOWER INC$333M1,685,701
25NETFLIX INC.$317M3,298,612
26ADVANCED MICRO DEVICES INC$316M1,555,562
27EXXON MOBIL CORP$310M1,824,510
28BANK AMERICA CORP$293M6,019,621
29MICRON TECHNOLOGY INC$291M861,323
30INTERNATIONAL BUSINESS MACHS$280M1,156,981
31HOME DEPOT INC$270M820,647
32EQUINIX INC$266M271,092
33ORACLE CORP$257M1,745,873
34PROLOGIS INC.$255M1,929,368
35VERIZON COMMUNICATIONS INC$255M5,071,107
36APPLIED MATLS INC$254M742,199
37DANAHER CORP DEL$247M1,302,097
38ANALOG DEVICES INC$245M769,235
39TJX COS INC NEW$240M1,501,514
40LINDE PLC$238M480,915
41GOLDMAN SACHS GROUP INC$237M279,966
42NEXTERA ENERGY INC$234M2,517,935
43MEDTRONIC PLC$229M2,639,868
44UNITEDHEALTH GROUP INC$229M845,099
45UNION PAC CORP$228M940,564
46LAM RESEARCH CORP$221M1,033,466
47SALESFORCE INC$216M1,156,697
48WELLS FARGO & CO$213M2,678,195
49EATON CORP PLC$213M594,367
50ABBOTT LABORATORIES$210M2,043,420
All filings on EDGAR ↗

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