ATECX
AB SUSTAINABLE GLOBAL THEMATIC FUND, INC.
AB SUSTAINABLE GLOBAL THEMATIC FUND, INC.

Portfolio concentration

As of January 31, 2026 · N-PORT
Holdings
58
Top-10 weight
35.36%
Effective holdings ?
40
Crowding ?
1047.1

Holdings

As of January 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 AB Fixed Income Shares, Inc. - Government Money Market Portfolio 86,813,540 $86.81M 5.86%
2 APPLE INC 246,070 $63.85M 4.31%
3 MICROSOFT CORP 137,977 $59.37M 4.01%
4 PRYSMIAN SPA 389,340 $46.11M 3.12%
5 SABESP 1,704,967 $45.75M 3.09%
6 STERIS PLC 173,250 $45.50M 3.07%
7 TSMC 816,000 $45.12M 3.05%
8 NVIDIA CORP 236,002 $45.11M 3.05%
9 ROCKWELL AUTOMATION INC 106,870 $45.06M 3.04%
10 WASTE MANAGEMENT INC 187,120 $41.59M 2.81%
11 VERALTO CORP 405,854 $40.17M 2.71%
12 NEXTERA ENERGY INC 452,131 $39.74M 2.68%
13 VISA INC-CLASS A 116,739 $37.57M 2.54%
14 SAMSUNG ELECTRONICS CO LTD 328,660 $36.31M 2.45%
15 AIA Group Ltd 2,971,400 $34.28M 2.32%
16 LONDON STOCK EXCHANGE GRP PLC 299,536 $33.41M 2.26%
17 EMERSON ELECTRIC CO 224,740 $33.03M 2.23%
18 Halma PLC 662,775 $32.19M 2.17%
19 ABBVIE INC 135,970 $30.32M 2.05%
20 ALPHABET INC CL A 89,340 $30.20M 2.04%
21 STRYKER CORP 74,400 $27.50M 1.86%
22 CAMECO CORP 221,000 $27.27M 1.84%
23 JEFFERIES FINANCIAL GROUP INC 437,370 $26.76M 1.81%
24 MERCK & CO 242,590 $26.75M 1.81%
25 SHOPIFY INC CL A 195,260 $25.62M 1.73%
26 MEDTRONIC PLC 243,865 $25.11M 1.70%
27 ERSTE GROUP BANK 187,320 $24.35M 1.65%
28 CADENCE DESIGN SYSTEMS INC 81,266 $24.08M 1.63%
29 CROWDSTRIKE HOLDINGS INC 53,445 $23.59M 1.59%
30 GALDERMA GROUP A 126,426 $23.57M 1.59%
31 LPL FINL HLDGS INC 64,510 $23.51M 1.59%
32 NATWEST GROUP PLC 2,576,570 $23.48M 1.59%
33 WSP GLOBAL INC 120,359 $23.27M 1.57%
34 SALESFORCE INC 108,810 $23.10M 1.56%
35 PALO ALTO NETWORKS INC 127,080 $22.49M 1.52%
36 TE CONNECTIVITY PLC 97,190 $21.65M 1.46%
37 FLEX LTD 343,209 $21.64M 1.46%
38 SHENZHEN INOVA-A 1,996,900 $21.47M 1.45%
39 NU HOLDINGS LTD/CAYMAN ISLANDS 1,168,188 $20.74M 1.40%
40 BROADCOM INC 52,900 $17.53M 1.18%
41 TETRA TECH INC 464,140 $17.48M 1.18%
42 RELX PLC 486,078 $17.23M 1.16%
43 PARTNERS GROUP HOLDING AG COMMON STOCK PGHN 11,612 $15.83M 1.07%
44 MERCADOLIBRE INC 7,365 $15.82M 1.07%
45 AECOM 151,484 $14.61M 0.99%
46 SPOTIFY TECHNOLOGY SA 28,070 $14.04M 0.95%
47 APOLLO HOSPITALS 184,077 $13.92M 0.94%
48 EXPERIAN PLC COMMON STOCK USD.1 EXPN 323,425 $12.25M 0.83%
49 NISSAN CHEMICAL 344,100 $11.86M 0.80%
50 USD P ZAR C @16.70000 EO 1 $1.04M 0.07%
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