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Aberdeen Wealth Management LLC
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Aberdeen Wealth Management LLC
All holdings · as of Dec 31, 2025
176 positions
All types
Company
▲
▼
Class
Value
▲
▼
Shares
▲
▼
% of portfolio
▲
▼
Otis Worldwide Corp
—
$288.2K
3,299
0.1%
NEW JERSEY RESOURCES CORP
—
$290.6K
6,301
0.1%
AT&T INC.
—
$292.2K
11,763
0.1%
US BANCORP \DE
—
$294.5K
5,519
0.1%
BRISTOL MYERS SQUIBB CO
—
$300.9K
5,579
0.1%
First American Financial Corp
—
$301.1K
4,901
0.1%
INTEL CORP
—
$305.5K
8,280
0.1%
MercadoLibre, Inc.
—
$306.2K
152
0.1%
GENERAL DYNAMICS CORP
—
$313.7K
932
0.1%
ALTRIA GROUP, INC.
—
$316.3K
5,485
0.1%
FIFTH THIRD BANCORP
—
$319.5K
6,825
0.1%
PFIZER INC
—
$326.7K
13,121
0.2%
MSC Industrial Direct Co., Inc.
—
$328.7K
3,909
0.2%
Palantir Technologies Inc
—
$339.5K
1,910
0.2%
ADVANCED MICRO DEVICES INC
—
$357.9K
1,671
0.2%
DIAGEO PLC
—
$364.1K
4,220
0.2%
TARGET CORP
—
$367.7K
3,762
0.2%
STARBUCKS CORP
—
$373.0K
4,430
0.2%
ENBRIDGE INC
—
$374.7K
7,835
0.2%
PayPal Holdings, Inc.
—
$375.6K
6,433
0.2%
ISHARES TR
—
$377.9K
5,725
0.2%
TRIMBLE INC.
—
$391.8K
5,000
0.2%
Zoetis Inc.
—
$405.8K
3,225
0.2%
NIKE, Inc.
—
$408.9K
6,418
0.2%
SPDR S&P MIDCAP 400 ETF TR
—
$422.9K
701
0.2%
SYSCO CORP
—
$429.9K
5,834
0.2%
BROADRIDGE FINANCIAL SOLUTIONS INC
—
$432.7K
1,939
0.2%
SCHWAB CHARLES CORP
—
$435.1K
4,355
0.2%
ISHARES SILVER TR
—
$439.7K
6,825
0.2%
FedEx Corp
—
$440.2K
1,524
0.2%
ANALOG DEVICES INC
—
$444.6K
1,639
0.2%
MICRON TECHNOLOGY INC
—
$448.1K
1,570
0.2%
MARSH & MCLENNAN COMPANIES, INC.
—
$451.9K
2,436
0.2%
ORACLE CORP
—
$461.9K
2,370
0.2%
Visa Inc
—
$465.2K
1,326
0.2%
DEERE & CO
—
$478.1K
1,027
0.2%
GE Vernova Inc.
—
$481.0K
736
0.2%
Cencora Inc
—
$483.4K
1,431
0.2%
Coterra Energy Inc.
—
$485.9K
18,463
0.2%
STRYKER CORP
—
$491.0K
1,397
0.2%
3M CO
—
$492.9K
3,079
0.2%
LINDE PLC
—
$494.6K
1,160
0.2%
EXPEDITORS INTERNATIONAL OF WASHINGTON INC
—
$515.0K
3,456
0.2%
ILLINOIS TOOL WORKS INC
—
$520.5K
2,113
0.2%
KIMBERLY CLARK CORP
—
$529.5K
5,248
0.2%
Vulcan Materials Co
—
$535.1K
1,876
0.2%
ISHARES TR
—
$577.8K
6,017
0.3%
AMERICAN ELECTRIC POWER CO INC
—
$583.2K
5,058
0.3%
CINTAS CORP
—
$588.7K
3,130
0.3%
CHEVRON CORP
—
$600.8K
3,942
0.3%
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