Institutions / AllianceBernstein L.P.

AllianceBernstein L.P.

CIK 1109448 · Institution · as of Mar 31, 2026
Portfolio value
$306.62B
Positions
3,227
As of
Mar 31, 2026

Portfolio trend

Portfolio value

$306.62B-2.6%
$314.92B$310.77B$306.62BQ4 '25Q1 '26

Positions

3,227-0.2%
3,2343,2313,227Q4 '25Q1 '26

Top holdings

Mar 31, 2026View all 3,227 →
CompanyClassValueShares% of portfolio
NVIDIA Corp$18.38B98,528,4856.0%
Microsoft Corp$15.38B31,797,3025.0%
Amazon.com Inc$12.15B52,639,5744.0%
Alphabet Inc.$12.07B38,449,0403.9%
Apple Inc.$11.60B42,677,4733.8%
Broadcom Inc.$8.61B24,873,8572.8%
Meta Platforms Inc$8.37B12,678,2732.7%
Visa Inc$6.37B18,156,6472.1%
ELI LILLY & Co$4.76B4,427,7641.6%
iShares Tr$3.65B5,328,0321.2%
Netflix Inc$3.45B36,808,6101.1%
Alphabet Inc.$3.29B10,522,6771.1%
Taiwan Semiconductor Manufacturing Co LtdTSMADR$2.58B8,482,8820.8%
Costco Wholesale Corp /New$2.39B2,766,2410.8%
Progressive CORP/OH$2.31B10,165,6530.8%
Home Depot, Inc.$2.23B6,481,3910.7%
Monster Beverage Corp$2.21B28,798,8980.7%
Intuitive Surgical Inc$2.16B3,812,6630.7%
Stryker Corp$2.13B6,052,9890.7%
Unitedhealth Group Inc$2.13B6,443,8630.7%
iShares MSCI UAE ETF$2.09B24,661,6610.7%
TJX Cos Inc/The$1.98B12,914,4480.6%
McKesson Corp$1.84B2,240,6970.6%
Vertex Pharmaceuticals Inc / Ma$1.77B3,910,7860.6%
JPMORGAN CHASE & CO$1.67B5,192,7930.5%

Activity

InsidersInstitutions
This fund's 13F position changes — what it's buying and selling.
DateActionCompanyValueShares ΔPosition afterImpact
Q1 2026
as of
TrimMicrosoft Corp$-2.07B-4.3M
-11.88%
31,797,302
5.02% of portfolio
high
Q1 2026
as of
Add00039J780$1.18B+29.0M
+2212.12%
30,355,259
0.40% of portfolio
high
Q1 2026
as of
AddGeneral Electric Co$1.12B+3.7M
+333.25%
4,747,065
0.48% of portfolio
high
Q1 2026
as of
NewG0593M107$1.02B+5.3M
5,279,565
0.33% of portfolio
high
Q1 2026
as of
TrimOtis Worldwide Corp$-992.35M-11.4M
-74.81%
3,825,492
0.11% of portfolio
high
Q1 2026
as of
TrimIntuit Inc.$-986.65M-1.5M
-62.75%
884,352
0.19% of portfolio
high
Q1 2026
as of
TrimServiceNow Inc$-893.42M-5.8M
-66.54%
2,932,110
0.15% of portfolio
high
Q1 2026
as of
TrimAbbott Laboratories$-583.08M-4.7M
-37.37%
7,798,129
0.32% of portfolio
high
Q1 2026
as of
AddApple Inc.$542.31M+2.0M
+4.90%
42,677,473
3.78% of portfolio
high
Q1 2026
as of
TrimTSM
Taiwan Semiconductor Manufacturing Co Ltd
ADR
$-526.54M-1.7M
-16.96%
8,482,882
0.84% of portfolio
high