LIDCX
Lord Abbett International Value Fund
LORD ABBETT SECURITIES TRUST

Portfolio concentration

As of April 30, 2026 · N-PORT
Holdings
81
Top-10 weight
25.40%
Effective holdings ?
63
Crowding ?
401.1

Holdings

As of April 30, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 HSBC HOLDINGS PL 989,684 $18.21M 3.54%
2 SHELL PLC SPONS ADR 190,648 $17.29M 3.36%
3 BHP GROUP LTD 409,422 $16.20M 3.15%
4 FIXED INC CLEARING CORP.REPO 15,791,468 $15.79M 3.07%
5 NN GROUP 156,220 $13.67M 2.65%
6 ENEL SPA 939,368 $10.97M 2.13%
7 ING GROEP NV 366,706 $10.61M 2.06%
8 LLOYDS BANKING 7,254,512 $9.86M 1.91%
9 TOYOTA MOTOR CORP 499,600 $9.59M 1.86%
10 BP PLC 1,168,745 $9.25M 1.80%
11 AIB GROUP PLC 787,687 $9.08M 1.76%
12 SIEMENS AG-REG 30,352 $9.02M 1.75%
13 IMPERIAL BRANDS 237,155 $9.01M 1.75%
14 Novartis AG (Registered) NVSEF 59,900 $8.85M 1.72%
15 PEMBINA PIPELINE 189,875 $8.84M 1.72%
16 MURATA MFG CO 262,551 $8.71M 1.69%
17 SUMITOMO MITSUI FINL GROUP INC 239,289 $8.45M 1.64%
18 EIFFAGE 51,920 $8.37M 1.63%
19 UNILEVER PLC 143,011 $8.34M 1.62%
20 TORONTO-DOMINION BANK 77,177 $8.31M 1.61%
21 FUJI ELECTRIC CO LTD 94,201 $7.92M 1.54%
22 SUMITOMO CORP 207,700 $7.72M 1.50%
23 BANCO SANTANDER SA 632,054 $7.71M 1.50%
24 SAMSUNG ELECTRONICS CO LTD 51,120 $7.70M 1.49%
25 SOMPO HOLDINGS I 206,781 $7.70M 1.49%
26 MIZUHO FINANCIAL 169,800 $7.30M 1.42%
27 ERSTE GROUP BANK 65,754 $7.27M 1.41%
28 Prudential Public Limited Company PRU 473,479 $7.14M 1.39%
29 BNP PARIBAS 67,268 $7.06M 1.37%
30 COCA-COLA HBC AG 116,315 $6.78M 1.32%
31 TSMC 97,514 $6.77M 1.31%
32 RUBIS SCA RUI 162,676 $6.70M 1.30%
33 BANCA MONTE DEI 618,825 $6.60M 1.28%
34 IBERDROLA SA 271,788 $6.37M 1.24%
35 JULIUS BAER GROU 76,488 $6.29M 1.22%
36 Fresenius SE & Company KGaA FRE 129,525 $6.27M 1.22%
37 AXA 130,031 $6.27M 1.22%
38 Bayer Aktiengesellschaft BAYN 139,127 $6.24M 1.21%
39 SITC 1,473,000 $6.17M 1.20%
40 FUJIFILM HOLDING 328,700 $6.05M 1.17%
41 MONEY MARKET FUND FRGXX 6,048,275 $6.05M 1.17%
42 KB FINANCIAL GRO 54,478 $5.97M 1.16%
43 GRUPO F BANORT-O 540,068 $5.86M 1.14%
44 NOKIA OYJ 456,377 $5.80M 1.13%
45 RYANAIR HLDGS 216,826 $5.69M 1.10%
46 AERCAP HOLDINGS NV AER US 39,870 $5.67M 1.10%
47 QBE INSURANCE 347,996 $5.64M 1.09%
48 SOC GENERALE SA 65,700 $5.29M 1.03%
49 Smith & Nephew PLC 338,791 $5.24M 1.02%
50 KDDI Corporation 9433 310,300 $5.08M 0.99%
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