GXXCX
abrdn U.S. Sustainable Leaders Fund
abrdn Funds

Portfolio moves

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.

Oct 31, 2025 → Jan 31, 2026

Expand a category to see the positions behind it, ranked by weight.

Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
BANK OF AMERICA CORPORATION 0 142,211 142,211 2.41% $7.57M
APPLE INC 0 13,785 13,785 1.14% $3.58M
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
AMDOCS LTD 68,925 0 -68,925 0.00% -$5.81M
ZOETIS INC CL A 38,870 0 -38,870 0.00% -$5.60M
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
NVIDIA CORP 143,125 144,180 1,055 8.76% -$1.42M
BROADCOM INC 23,382 41,568 18,186 4.38% $5.13M
LPL FINL HLDGS INC 18,661 23,854 5,193 2.76% $1.65M
NXP SEMICONDUCTORS NV 15,030 20,841 5,811 1.50% $1.57M
SERVICENOW INC 7,512 37,005 29,493 1.38% -$2.58M
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
MICROSOFT CORP 66,323 65,345 -978 8.94% -$6.23M
ALPHABET INC CL C 50,867 50,116 -751 5.39% $2.63M
MASTERCARD INC CL A 21,701 21,381 -320 3.66% -$458.87K
AMERICAN EXPRESS CO 30,816 30,362 -454 3.40% -$423.67K
TJX COS INC 71,686 66,093 -5,593 3.15% -$144.68K
HUBBELL INC 19,760 19,469 -291 3.02% $212.50K
CADENCE DESIGN SYSTEMS INC 31,149 30,689 -460 2.89% -$1.45M
BAKER HUGHES CO 151,324 149,091 -2,233 2.66% $1.03M
S&P GLOBAL INC 15,579 15,350 -229 2.58% $511.33K
MERCK & CO 71,830 70,770 -1,060 2.48% $1.63M
DANAHER CORP 35,926 35,395 -531 2.46% $9.87K
AMERICAN WATER WRKS COMPANY 55,498 54,679 -819 2.24% -$66.91K
LILLY ELI and CO 9,942 6,749 -3,193 2.23% -$1.58M
TETRA TECH INC 187,197 184,434 -2,763 2.21% $959.22K
PROCTER & GAMBLE 69,088 43,527 -25,561 2.10% -$3.78M
ACCENTURE PLC CL A 25,257 24,884 -373 2.09% $243.64K
O'REILLY AUTOMOTIVE INC 67,049 66,059 -990 2.07% $168.76K
WASTE MANAGEMENT INC 40,023 29,064 -10,959 2.05% -$1.54M
ANALOG DEVICES INC 20,745 20,438 -307 2.02% $1.50M
EATON CORP PLC 18,176 17,908 -268 2.00% -$642.01K
LINDE PLC 13,800 13,597 -203 1.98% $440.88K
TRANE TECHNOLOGIES PLC 13,911 13,706 -205 1.83% -$476.70K
RESMED INC 22,006 21,681 -325 1.78% $167.58K
ADOBE INC 17,152 16,898 -254 1.58% -$881.66K
JPMORGAN CHASE and CO 16,390 16,148 -242 1.57% -$159.75K
BOSTON SCIENTIFIC CORP 78,285 49,325 -28,960 1.47% -$3.27M
MARVELL TECHNOLOGY INC 107,366 56,083 -51,283 1.41% -$5.64M
UNITEDHEALTH GRP 14,252 14,042 -210 1.28% -$838.84K
State Street Navigator Securities Lending Portfolio II 6,443,990 3,552,246 -2,891,744 1.13% -$2.89M
INTEGER HOLDINGS CORP 41,477 40,864 -613 1.13% $871.28K
AAON INC 39,253 38,673 -580 1.12% -$340.54K
VERALTO CORP 45,458 32,505 -12,953 1.02% -$1.27M
WATSCO INC 6,252 6,160 -92 0.76% $79.73K

No positions in this category.

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