ABVYX
AB Large Cap Value Fund
AB TRUST

Portfolio concentration

As of February 28, 2026 · N-PORT
Holdings
62
Top-10 weight
30.37%
Effective holdings ?
50
Crowding ?
1195.4

Holdings

As of February 28, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 ALPHABET INC CL C 55,705 $17.35M 3.59%
2 EXXON MOBIL CORP 106,434 $16.23M 3.36%
3 WALMART INC 125,929 $16.11M 3.33%
4 RTX CORP 77,286 $15.66M 3.24%
5 MERCK & CO 115,773 $14.34M 2.96%
6 WALT DISNEY CO/T 134,912 $14.31M 2.96%
7 LAM RESEARCH CORP 61,055 $14.28M 2.95%
8 BANK OF AMERICA CORPORATION 279,260 $13.92M 2.88%
9 AMERICAN ELECTRIC POWER CO INC 92,632 $12.40M 2.56%
10 LOWES COS INC 46,106 $12.20M 2.52%
11 DEERE & CO 18,807 $11.84M 2.45%
12 AUTOZONE INC 3,031 $11.38M 2.35%
13 SCHWAB CHARLES CORP 118,358 $11.27M 2.33%
14 WELLS FARGO & CO 129,919 $10.58M 2.19%
15 UNITEDHEALTH GRP 34,619 $10.15M 2.10%
16 CORTEVA INC 123,981 $9.93M 2.05%
17 EOG RESOURCES INC 79,747 $9.90M 2.05%
18 LABCORP HOLDINGS INC 34,125 $9.87M 2.04%
19 MCDONALDS CORP 26,950 $9.19M 1.90%
20 EAGLE MATERIALS INC 40,700 $9.11M 1.88%
21 AMEREN CORP 77,883 $8.82M 1.82%
22 HEXCEL CORPORATION 94,097 $8.72M 1.80%
23 EATON CORP PLC 21,641 $8.14M 1.68%
24 CME GROUP INC CL A 25,353 $8.10M 1.68%
25 WILLIS TOWERS WATSON PLC 25,826 $7.88M 1.63%
26 RELIANCE STEEL and ALUMINUM CO 24,854 $7.84M 1.62%
27 EVEREST REINSURANCE GROUP LTD 22,984 $7.71M 1.59%
28 COCA-COLA CO/THE 91,315 $7.45M 1.54%
29 T-MOBILE US INC 34,035 $7.39M 1.53%
30 PACCAR INC 57,230 $7.22M 1.49%
31 MEDTRONIC PLC 73,423 $7.17M 1.48%
32 NXP SEMICONDUCTORS NV 31,240 $7.09M 1.47%
33 CARRIER GLOBAL CORP 107,112 $6.90M 1.43%
34 DOLLAR TREE INC 53,367 $6.75M 1.40%
35 CNH INDUSTRIAL NV 528,431 $6.50M 1.34%
36 MORGAN STANLEY 38,899 $6.48M 1.34%
37 US FOODS HOLDING CORP 66,262 $6.40M 1.32%
38 SANDISK CORPORATION 9,673 $6.15M 1.27%
39 BAKER HUGHES CO 91,322 $5.96M 1.23%
40 JOHNSON&JOHNSON 23,859 $5.93M 1.23%
41 WESTERN DIGITAL CORP 20,644 $5.77M 1.19%
42 THERMO FISHER SCIENTIFIC INC 10,836 $5.65M 1.17%
43 DIGITAL REALTY TRUST INC 29,224 $5.18M 1.07%
44 COREBRIDGE FINANCIAL INC 197,757 $5.11M 1.06%
45 Bath & Body Works Inc 223,165 $5.08M 1.05%
46 M&T BANK CORP 23,216 $5.04M 1.04%
47 F5 INC 18,208 $4.94M 1.02%
48 CH ROBINSON WORLDWIDE INC 26,466 $4.90M 1.01%
49 ENCOMPASS HEALTH CORP 43,240 $4.66M 0.96%
50 BERKSHIRE HATH-B 9,093 $4.59M 0.95%
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