Research report
ABBV Q4 2025 Institutional Holdings and Activity Report
Verified Q4 2025 13F holdings for AbbVie Inc, covering institutional activity, data dates, SEC sources, filing limits, and methods.
13F institutional ownership facts
Institutions tracked
50
Reported value
$1,166,296,288.00
Reported shares
4,634,761
Latest filing period
Q2 2026
Top institutional holders
- Robeco Institutional Asset Management · $897,126,545 · 1.1%
- Franklin Resources · $5,013,985,356 · 1.09%
- PSP Investments · $273,989,658 · 0.71%
- Jamie Dimon - JPMorgan Chase · $12,171,988,269 · 0.67%
- Morgan Stanley · $9,789,048,614 · 0.52%
- Capital International Investors · $3,936,357,038 · 0.81%
Data source and limitations
This page uses public SEC Form 13F disclosures and related institutional filing data. 13F reports are periodic disclosures and may not represent current real-time holdings.
13F Hub provides research and education data only. It does not provide personalized investment advice.
$ABBV
Institutional Holdings
50
Top Institutions
Top Institutions
Robeco Institutional Asset Management
3,565,119 shares
1.10%
% of Portfolio
Franklin Resources
19,925,232 shares
1.09%
% of Portfolio
PSP Investments
1,088,816 shares
0.71%
% of Portfolio
Jamie Dimon - JPMorgan Chase
47,862,796 shares
0.67%
% of Portfolio
Morgan Stanley
38,901,001 shares
0.52%
% of Portfolio
Capital International Investors
15,638,631 shares
0.81%
% of Portfolio
PFA Pension
1,176,312 shares
0.75%
% of Portfolio
Geode Capital Management
46,998,433 shares
0.63%
% of Portfolio
New York State Teachers Retirement System - New York State Teachers Retirement System
1,366,818 shares
0.63%
% of Portfolio
State Street Corp
82,596,748 shares
0.62%
% of Portfolio
Amundi
10,039,289 shares
0.61%
% of Portfolio
Legal & General
11,548,053 shares
0.61%
% of Portfolio
Mitsubishi Ufj Asset Management Co., Ltd.
4,340,720 shares
0.61%
% of Portfolio
Northern Trust Corp
20,558,447 shares
0.60%
% of Portfolio
Capital World Investors
19,178,966 shares
0.57%
% of Portfolio
Nuveen
9,509,991 shares
0.57%
% of Portfolio
Adage Capital Partners
1,598,568 shares
0.56%
% of Portfolio
Larry Fink - BlackRock
149,488,412 shares
0.56%
% of Portfolio
SG Americas Securities
3,984,924 shares
0.56%
% of Portfolio
Voya Investment Mgmt
2,374,888 shares
0.52%
% of Portfolio
PNC Financial Services
4,007,446 shares
0.50%
% of Portfolio
CalPERS
3,428,196 shares
0.49%
% of Portfolio
Canada Pension Plan Investment Board
3,248,582 shares
0.45%
% of Portfolio
Charles Schwab
12,914,230 shares
0.43%
% of Portfolio
UBS Group
12,845,120 shares
0.41%
% of Portfolio
T. Rowe Price
14,749,069 shares
0.37%
% of Portfolio
David Solomon - Goldman Sachs
16,291,630 shares
0.36%
% of Portfolio
Ensign Peak Advisors
861,436 shares
0.36%
% of Portfolio
BNP Paribas
3,055,271 shares
0.27%
% of Portfolio
David E. Shaw - D.E. Shaw & Co.
2,102,316 shares
0.25%
% of Portfolio
Neuberger Berman
1,279,175 shares
0.21%
% of Portfolio
Dmitry Balyasny - Balyasny Asset Management
622,946 shares
0.20%
% of Portfolio
Rajiv Jain - Gqg Partners
1,921,614 shares
0.90%
% of Portfolio
Ken Fisher - Fisher Asset Management
9,497,970 shares
0.71%
% of Portfolio
Mike Hankin - Brown Advisory INC
870,702 shares
0.34%
% of Portfolio
Wellington Management
5,055,589 shares
0.22%
% of Portfolio
Cliff Asness - AQR Capital Management
2,015,238 shares
0.18%
% of Portfolio
Invesco
7,114,782 shares
0.14%
% of Portfolio
Israel Englander - Millennium Management
1,516,475 shares
0.14%
% of Portfolio
Fidelity International (FIL)
677,123 shares
0.12%
% of Portfolio
Lazard Asset Management
254,499 shares
0.10%
% of Portfolio
Steve Cohen - Point72 Asset Management
366,836 shares
0.10%
% of Portfolio
Ken Griffin - Citadel Advisors
3,169,783 shares
0.09%
% of Portfolio
Joel Greenblatt - Gotham Asset Management
108,867 shares
0.06%
% of Portfolio
Jennison Associates
679,544 shares
0.10%
% of Portfolio
Two Sigma Investments
198,249 shares
0.04%
% of Portfolio
Jan van Eck - VanEck
195,741 shares
0.03%
% of Portfolio
Jane Street Group
349,226 shares
0.01%
% of Portfolio
Dodge & Cox
10,393 shares
NaN%
% of Portfolio
Bill Nygren - Oakmark Select Fund
2,420 shares
NaN%
% of Portfolio
Institutional InsightPRO
Scale Distribution
MEGA
38%
LARGE
41%
MEDIUM
34%
SMALL
-13%
Geographic Distribution
Institutional Activity
Buyers
43
Sellers
36
Holders
79
New
15
Exited
10
Insider TradingPRO
Trading Statistics
Insider Buyers
21
Insider Sellers
36
Purchase Value
$27.4M
Role Distribution
RatingPRO
63
C+
Overall Score
Moderate institutional interest with stable holdings
Rating Dimensions
Recent Actions
New
8
Increased
21
Decreased
17
Exited
6
Total
35