ABCSX
AB Discovery Value Fund
AB TRUST

Portfolio concentration

As of February 28, 2026 · N-PORT
Holdings
94
Top-10 weight
16.57%
Effective holdings ?
85
Crowding ?
514.8

Holdings

As of February 28, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 TECHNIPFMC PLC 779,179 $51.67M 2.09%
2 TENET HEALTHCARE CORP 175,294 $41.96M 1.70%
3 OSHKOSH CORP 246,128 $41.85M 1.69%
4 REGAL REXNORD CORP 184,972 $40.88M 1.65%
5 RELIANCE STEEL and ALUMINUM CO 129,440 $40.86M 1.65%
6 IDACORP INC 283,411 $40.80M 1.65%
7 CH ROBINSON WORLDWIDE INC 206,799 $38.31M 1.55%
8 BJS WHSL CLUB HLDGS INC 386,843 $38.22M 1.55%
9 US FOODS HOLDING CORP 388,831 $37.56M 1.52%
10 BORGWARNER INC 650,777 $37.47M 1.52%
11 HANOVER INSURANCE GROUP INC 203,259 $36.71M 1.49%
12 ENVISTA HOLDINGS CORP 1,245,269 $36.37M 1.47%
13 JONES LANG LASALLE INC 114,789 $36.22M 1.47%
14 HEXCEL CORPORATION 390,497 $36.20M 1.46%
15 HASBRO INC 356,213 $35.48M 1.44%
16 GLOBUS MEDICAL INC 365,881 $34.93M 1.41%
17 KIRBY CORP 261,332 $33.92M 1.37%
18 GXO LOGISTICS INC 531,578 $33.40M 1.35%
19 ON SEMICONDUCTOR CORP 497,196 $33.05M 1.34%
20 HA SUSTAINABLE INFRASTRUCTURE CAPITAL INC 904,327 $33.03M 1.34%
21 ARCBEST CORP 318,013 $32.65M 1.32%
22 AVNET INC 495,642 $32.63M 1.32%
23 TEREX CORP 467,750 $32.18M 1.30%
24 KNIGHT-SWIFT TRANSPORTATION HOLDINGS INC 501,999 $31.59M 1.28%
25 DOLLAR TREE INC 247,908 $31.36M 1.27%
26 RPM INTL INC 271,708 $31.01M 1.25%
27 NCR ATLEOS CORP 696,371 $30.84M 1.25%
28 INVESCO LTD 1,157,286 $30.39M 1.23%
29 BIO-TECHNE CORP 513,776 $30.31M 1.23%
30 TD SYNNEX CORP 187,656 $29.43M 1.19%
31 GATX CORP 159,657 $29.40M 1.19%
32 CACI INTL-A 46,921 $28.63M 1.16%
33 FIRST CITIZENS BANCSHARES INC CL A 14,821 $28.13M 1.14%
34 WILLSCOT MOBILE MINI HOLDINGS CORP 1,301,719 $28.13M 1.14%
35 ADT INC 3,430,699 $27.51M 1.11%
36 CORPORATE OFFICE PROPERTIES TR 860,410 $27.34M 1.11%
37 CIENA CORP 78,307 $27.31M 1.11%
38 STAR BULK CARRIERS CORP SBLK 1,030,479 $27.09M 1.10%
39 UNIVERSAL DISPLAY CORP 252,535 $26.94M 1.09%
40 UMB FINANCIAL CORP 231,888 $26.87M 1.09%
41 BRUNSWICK CORP 333,661 $26.57M 1.08%
42 AMERICAN FINL GROUP INC OHIO 198,311 $26.37M 1.07%
43 JOHN BEAN TECHNOLOGIES CORP 169,810 $26.15M 1.06%
44 MAGNOLIA OIL and GAS CORPO CL A 939,553 $26.14M 1.06%
45 AB Fixed Income Shares, Inc. - Government Money Market Portfolio 26,090,172 $26.09M 1.06%
46 F5 INC 95,534 $25.92M 1.05%
47 WD-40 CO 107,908 $25.70M 1.04%
48 ONE GAS INC 293,876 $25.70M 1.04%
49 MATADOR RESOURCES COMPANY 497,461 $25.57M 1.03%
50 BOISE CASCADE CO 306,615 $25.37M 1.03%
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