Net position changes between two of this fund's N-PORT
snapshots. These are differences between point-in-time reports — not a
trade log — and share counts can be affected by splits and other corporate
actions.
Nov 30, 2025 → Feb 28, 2026
Expand a category to
see the positions behind it, ranked by weight.
Security
Shares Nov 2025
Shares Feb 2026
Δ shares
End %
Δ value
EXXON MOBIL CORP
0
36,080
36,080
0.54%
$5.50M
COMMSTCK
0
35,972
35,972
0.41%
$4.17M
CARRIER GLOBAL CORP
0
38,882
38,882
0.24%
$2.50M
EAGLE MATERIALS INC
0
8,654
8,654
0.19%
$1.94M
REDDIT INC-A
0
12,830
12,830
0.18%
$1.87M
PNC FINANCIAL SERVICES GRP INC
0
6,974
6,974
0.14%
$1.48M
ASML HOLDING-NY
0
988
988
0.14%
$1.43M
ENCOMPASS HEALTH CORP
0
10,384
10,384
0.11%
$1.12M
FIFTH THIRD BANCORP
0
19,722
19,722
0.10%
$975.65K
Security
Shares Nov 2025
Shares Feb 2026
Δ shares
End %
Δ value
INTUIT INC
9,216
0
-9,216
0.00%
-$5.84M
HUBSPOT INC
4,925
0
-4,925
0.00%
-$1.81M
QUALCOMM INC
2,134
0
-2,134
0.00%
-$358.70K
GEN DIGITAL INC
10,011
0
-10,011
0.00%
-$263.99K
Security
Shares Nov 2025
Shares Feb 2026
Δ shares
End %
Δ value
Bernstein International Strategic Equities Portfolio
12,483,437
14,022,324
1,538,887
25.55%
$43.40M
AB International Small Cap Portfolio
2,279,585
2,637,598
358,014
4.01%
$6.12M
AB Discovery Value Fund
1,324,797
1,407,180
82,383
2.98%
$2.85M
APPLE INC
107,532
112,647
5,115
2.90%
-$226.21K
AMAZON.COM INC
117,851
122,629
4,778
2.51%
-$1.73M
AB Discovery Growth Fund Inc
1,609,939
1,771,576
161,637
2.25%
$744.15K
Bernstein Small Cap Core Portfolio
1,566,157
1,729,024
162,867
2.08%
$1.01M
CSX CORP
174,502
194,685
20,183
0.81%
$2.14M
AUTOZONE INC
1,837
2,119
282
0.77%
$693.97K
EOG RESOURCES INC
57,193
64,115
6,922
0.77%
$1.79M
DEERE & CO
10,361
11,201
840
0.69%
$2.24M
CORTEVA INC
78,351
85,703
7,352
0.67%
$1.58M
S&P GLOBAL INC
9,186
13,931
4,745
0.60%
$1.57M
MERCK & CO
29,192
48,228
19,036
0.58%
$2.91M
NXP SEMICONDUCTORS NV
18,489
25,790
7,301
0.57%
$2.25M
LILLY ELI and CO
3,834
4,131
297
0.42%
$222.42K
HEXCEL CORPORATION
42,544
46,857
4,313
0.42%
$1.10M
CAPITAL ONE FINANCIAL CORP
20,801
20,936
135
0.40%
-$460.96K
STRYKER CORP
9,262
10,293
1,031
0.39%
$550.26K
CISCO SYSTEMS INC
14,232
48,223
33,991
0.37%
$2.74M
MOTOROLA SOLUTIONS INC
4,950
7,121
2,171
0.33%
$1.60M
DIGITAL REALTY TRUST INC
17,274
19,339
2,065
0.33%
$660.96K
MARSH & MCLENNAN
14,274
18,118
3,844
0.33%
$764.79K
UNITED RENTALS INC
3,318
3,945
627
0.32%
$609.03K
EVEREST REINSURANCE GROUP LTD
5,026
7,716
2,690
0.25%
$1.01M
SERVICENOW INC
1,612
8,060
6,448
0.08%
-$439.04K
Security
Shares Nov 2025
Shares Feb 2026
Δ shares
End %
Δ value
NVIDIA CORP
268,192
258,635
-9,557
4.46%
-$1.64M
GOLDMAN SACHS GROUP INC
18,199
13,562
-4,637
1.14%
-$3.38M
SCHWAB CHARLES CORP
121,798
102,987
-18,811
0.95%
-$1.49M
WALT DISNEY CO/T
102,520
90,455
-12,065
0.93%
-$1.12M
UNITEDHEALTH GRP
29,410
28,251
-1,159
0.81%
-$1.41M
THERMO FISHER SCIENTIFIC INC
17,060
15,828
-1,232
0.80%
-$1.83M
WALMART INC
138,819
63,526
-75,293
0.79%
-$7.21M
AMERICAN ELECTRIC POWER CO INC
59,024
54,787
-4,237
0.71%
$26.20K
RTX CORP
39,039
35,715
-3,324
0.70%
$408.26K
COSTCO WHOLESALE CORP
7,999
7,114
-885
0.70%
-$117.05K
ORACLE CORP
48,437
43,598
-4,839
0.62%
-$3.44M
VERTEX PHARMACEUTICALS INC
14,345
12,579
-1,766
0.61%
$29.49K
MEDTRONIC PLC
56,729
51,743
-4,986
0.49%
-$922.04K
AB Fixed Income Shares, Inc. - Government Money Market Portfolio