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STOCK TICKER:

MAJOR GURUS:
David Einhorn
Bill Ackman
Bill Miller
Steven Cohen
Jim Simons

ALLIANCEBERNSTEIN L.P. INSTITUTION : ALLIANCEBERNSTEIN L.P.
ALLIANCEBERNSTEIN L.P. Portfolio (reported on 2020-08-13)
Company (links to holding history) Ticker Value On
2020-06-30
No of Shares % of portfolio
MICROSOFT CORP    (COM) MSFT 9,144,805,000 44,935,409 5.37%
ALPHABET INC    (CAP STK CL C) GOOG 5,095,702,000 3,604,744 2.99%
AMAZON COM INC    (COM) AMZN 4,877,751,000 1,768,057 2.86%
APPLE INC    (COM) AAPL 4,237,418,000 11,615,728 2.49%
FACEBOOK INC    (CL A) FB 4,157,058,000 18,307,387 2.44%
VISA INC    (COM CL A) V 3,352,571,000 17,355,545 1.97%
UNITEDHEALTH GROUP INC    (COM) UNH 3,017,031,000 10,228,956 1.77%
ZOETIS INC    (CL A) ZTS 2,027,863,000 14,797,598 1.19%
HOME DEPOT INC    (COM) HD 1,916,653,000 7,651,002 1.12%
PAYPAL HLDGS INC    (COM) PYPL 1,801,984,000 10,342,556 1.05%
PROCTER AND GAMBLE CO    (COM) PG 1,730,701,000 14,474,371 1.01%
VERTEX PHARMACEUTICALS INC    (COM) VRTX 1,679,725,000 5,785,971 0.98%
AUTOMATIC DATA PROCESSING IN    (COM) ADP 1,646,805,000 11,060,546 0.96%
NIKE INC    (CL B) NKE 1,617,399,000 16,495,656 0.95%
JOHNSON & JOHNSON    (COM) JNJ 1,457,225,000 10,362,119 0.85%
MASTERCARD INCORPORATED    (CL A) MA 1,431,032,000 4,839,472 0.84%
MONSTER BEVERAGE CORP NEW    (COM) MNST 1,309,429,000 18,889,632 0.76%
COMCAST CORP NEW    (CL A) CMCSA 1,281,273,000 32,870,021 0.75%
ADOBE INC    (COM) ADBE 1,224,087,000 2,811,990 0.71%
BERKSHIRE HATHAWAY INC DEL    (CL B NEW) BRK/B 1,203,851,000 6,743,884 0.70%
INTUITIVE SURGICAL INC    (COM NEW) ISRG 1,162,982,000 2,040,928 0.68%
ABBOTT LABS    (COM) ABT 1,152,516,000 12,605,452 0.67%
TJX COS INC NEW    (COM) TJX 1,116,008,000 22,072,957 0.65%
NVIDIA CORPORATION    (COM) NVDA 1,094,472,000 2,880,871 0.64%
WALMART INC    (COM) WMT 1,016,288,000 8,484,620 0.59%
XILINX INC    (COM) XLNX 1,015,158,000 10,317,699 0.59%
COSTCO WHSL CORP NEW    (COM) COST 963,270,000 3,176,907 0.56%
REGENERON PHARMACEUTICALS    (COM) REGN 962,134,000 1,542,746 0.56%
ELECTRONIC ARTS INC    (COM) ERTS 957,876,000 7,253,889 0.56%
EDWARDS LIFESCIENCES CORP    (COM) EW 940,479,000 13,608,430 0.55%
ANTHEM INC    (COM) ANTM 903,551,000 3,435,816 0.53%
MERCK & CO. INC    (COM) MRK 898,362,000 11,617,256 0.52%
VERIZON COMMUNICATIONS INC    (COM) VZ 877,307,000 15,913,425 0.51%
INTERNATIONAL FLAVORS&FRAGRA    (COM) IFF 844,314,000 6,894,610 0.49%
TEXAS INSTRS INC    (COM) TXN 829,439,000 6,532,558 0.48%
JPMORGAN CHASE & CO    (COM) JPM 828,952,000 8,813,010 0.48%
PROGRESSIVE CORP OHIO    (COM) PGR 824,904,000 10,297,147 0.48%
BK OF AMERICA CORP    (COM) BAC 812,863,000 34,225,830 0.47%
HONEYWELL INTL INC    (COM) HON 804,053,000 5,560,920 0.47%
IQVIA HLDGS INC    (COM) 803,486,000 5,663,142 0.47%
INTEL CORP    (COM) INTC 789,583,000 13,197,105 0.46%
ORACLE CORP    (COM) ORCL 756,805,000 13,692,879 0.44%
ALLEGION PLC    (ORD SHS) ALLE 755,286,000 7,388,828 0.44%
NEXTERA ENERGY INC    (COM) NEE 753,715,000 3,138,255 0.44%
AMPHENOL CORP NEW    (CL A) APH 739,395,000 7,717,303 0.43%
PFIZER INC    (COM) PFE 727,123,000 22,236,169 0.42%
QUALCOMM INC    (COM) QCOM 722,031,000 7,916,135 0.42%
CISCO SYS INC    (COM) CSCO 717,759,000 15,389,336 0.42%
ILLUMINA INC    (COM) ILMN 717,426,000 1,937,158 0.42%
VERISK ANALYTICS INC    (COM) VRSK 704,303,000 4,138,091 0.41%
ALPHABET INC    (CAP STK CL A) GOOGL 695,371,000 490,371 0.40%
PEPSICO INC    (COM) PEP 693,087,000 5,240,334 0.40%
SCHWAB CHARLES CORP    (COM) SCHW 653,705,000 19,374,779 0.38%
GOLDMAN SACHS GROUP INC    (COM) GS 637,855,000 3,227,684 0.37%
SHERWIN WILLIAMS CO    (COM) SHW 632,277,000 1,094,189 0.37%
CHEVRON CORP NEW    (COM) CVX 615,142,000 6,893,888 0.36%
SPDR S&P 500 ETF TR    (TR UNIT) SPY 598,941,000 1,942,343 0.35%
WELLS FARGO CO NEW    (COM) WFC 596,575,000 23,303,705 0.35%
ROPER TECHNOLOGIES INC    (COM) ROP 586,091,000 1,509,533 0.34%
APTIV PLC    (SHS) 582,981,000 7,481,797 0.34%
CITIGROUP INC    (COM NEW) C 567,547,000 11,106,592 0.33%
PHILIP MORRIS INTL INC    (COM) PM 546,887,000 7,805,987 0.32%
ALIGN TECHNOLOGY INC    (COM) ALGN 541,339,000 1,972,524 0.31%
DISNEY WALT CO    (COM DISNEY) DIS 532,433,000 4,774,752 0.31%
MEDTRONIC PLC    (SHS) MDT 524,940,000 5,724,536 0.30%
ALIBABA GROUP HLDG LTD    (SPONSORED ADS) BABA 520,494,000 2,413,043 0.30%
ISHARES TR    (CORE S&P500 ETF) IVV 511,855,000 1,652,799 0.30%
SALESFORCE COM INC    (COM) CRM 504,006,000 2,690,471 0.29%
CDW CORP    (COM) CDW 502,916,000 4,328,760 0.29%
COCA COLA CO    (COM) KO 499,779,000 11,185,736 0.29%
STERICYCLE INC    (COM) SRCL 496,762,000 8,873,914 0.29%
AMERICAN ELEC PWR CO INC    (COM) AEP 460,581,000 5,783,293 0.27%
AUTOZONE INC    (COM) AZO 458,335,000 406,282 0.26%
3M CO    (COM) MMM 450,688,000 2,889,213 0.26%
NXP SEMICONDUCTORS N V    (COM) NXPI 434,062,000 3,806,228 0.25%
IDEXX LABS INC    (COM) IDXX 433,149,000 1,311,938 0.25%
LILLY ELI & CO    (COM) LLY 426,494,000 2,597,725 0.25%
ULTA BEAUTY INC    (COM) ULTA 414,734,000 2,038,805 0.24%
COGNIZANT TECHNOLOGY SOLUTIO    (CL A) CTSH 413,360,000 7,274,907 0.24%
ACTIVISION BLIZZARD INC    (COM) ATVI 408,375,000 5,380,432 0.23%
VEEVA SYS INC    (CL A COM) VEEV 394,720,000 1,683,814 0.23%
AMGEN INC    (COM) AMGN 389,124,000 1,649,810 0.22%
NETFLIX INC    (COM) NFLX 386,751,000 849,927 0.22%
PNC FINL SVCS GROUP INC    (COM) PNC 385,263,000 3,661,844 0.22%
RAYTHEON TECHNOLOGIES CORP    (COM) 382,915,000 6,214,127 0.22%
BOOKING HOLDINGS INC    (COM) 382,037,000 239,922 0.22%
STRYKER CORPORATION    (COM) SYK 371,064,000 2,059,295 0.21%
FIDELITY NATL INFORMATION SV    (COM) FIS 367,186,000 2,738,357 0.21%
L3HARRIS TECHNOLOGIES INC    (COM) 356,066,000 2,098,578 0.20%
LOWES COS INC    (COM) LOW 356,006,000 2,634,738 0.20%
COPART INC    (COM) CPRT 355,041,000 4,263,730 0.20%
OTIS WORLDWIDE CORP    (COM) 354,628,000 6,236,857 0.20%
S&P GLOBAL INC    (COM) SPGI 346,804,000 1,052,579 0.20%
IPG PHOTONICS CORP    (COM) IPGP 338,002,000 2,107,374 0.19%
AT&T INC    (COM) T 337,996,000 11,180,826 0.19%
BURLINGTON STORES INC    (COM) BURL 336,846,000 1,710,485 0.19%
BRISTOL-MYERS SQUIBB CO    (COM) BMY 329,852,000 5,609,734 0.19%
ASML HOLDING N V    (N Y REGISTRY SHS) ASML 329,395,000 895,023 0.19%
TAKE-TWO INTERACTIVE SOFTWAR    (COM) TTWO 328,847,000 2,356,147 0.19%
NORFOLK SOUTHERN CORP    (COM) NSC 328,780,000 1,872,641 0.19%
DOMINOS PIZZA INC    (COM) DPZ 326,309,000 883,252 0.19%
EXXON MOBIL CORP    (COM) XOM 319,339,000 7,140,850 0.18%
UNITED RENTALS INC    (COM) URI 315,817,000 2,119,010 0.18%
ISHARES TR    (CORE S&P TTL STK) ISI 315,645,000 4,545,585 0.18%
AMERICAN TOWER CORP NEW    (COM) AMT 315,582,000 1,220,631 0.18%
ISHARES TR    (CORE MSCI TOTAL) IXUS 315,355,000 5,784,204 0.18%
MCDONALDS CORP    (COM) MCD 313,675,000 1,700,414 0.18%
JACOBS ENGR GROUP INC    (COM) JEC 312,218,000 3,681,819 0.18%
CIGNA CORP NEW    (COM) 311,244,000 1,658,640 0.18%
CBRE GROUP INC    (CL A) CBG 307,097,000 6,791,170 0.18%
MID-AMER APT CMNTYS INC    (COM) MAA 305,827,000 2,667,018 0.17%
SERVICE CORP INTL    (COM) SCI 302,234,000 7,771,513 0.17%
UNION PAC CORP    (COM) UNP 299,368,000 1,770,675 0.17%
AERCAP HOLDINGS NV    (SHS) AER 293,443,000 9,527,383 0.17%
ISHARES TR    (CORE MSCI EAFE) IEFA 290,762,000 5,086,806 0.17%
ICON PLC    (SHS) ICLR 290,637,000 1,725,256 0.17%
ABBVIE INC    (COM) ABBV 287,502,000 2,928,311 0.16%
EOG RES INC    (COM) EOG 287,470,000 5,674,501 0.16%
STARBUCKS CORP    (COM) SBUX 281,448,000 3,824,548 0.16%
CITRIX SYS INC    (COM) CTXS 279,590,000 1,890,270 0.16%
DANAHER CORPORATION    (COM) DHR 275,859,000 1,560,025 0.16%
AECOM    (COM) ACM 274,735,000 7,310,659 0.16%
KNIGHT SWIFT TRANSN HLDGS IN    (CL A) 267,275,000 6,407,936 0.15%
ARISTA NETWORKS INC    (COM) ANET 267,245,000 1,272,414 0.15%
AMERICOLD RLTY TR    (COM) 265,166,000 7,304,839 0.15%
DOLLAR GEN CORP NEW    (COM) DG 259,339,000 1,361,287 0.15%
TYLER TECHNOLOGIES INC    (COM) TYL 257,002,000 740,896 0.15%
TREX CO INC    (COM) TWP 249,524,000 1,918,380 0.14%
PROLOGIS INC.    (COM) PLD 242,745,000 2,600,934 0.14%
CUBESMART    (COM) CUBE 233,313,000 8,644,425 0.13%
ISHARES TR    (MSCI ACWI ETF) ACWI 231,700,000 3,142,972 0.13%
KLA CORP    (COM NEW) KLAC 229,962,000 1,182,448 0.13%
VMWARE INC    (CL A COM) VMW 229,035,000 1,478,980 0.13%
CME GROUP INC    (COM) CME 226,994,000 1,396,542 0.13%
EATON CORP PLC    (SHS) ETN 226,782,000 2,592,391 0.13%
AMETEK INC    (COM) AME 226,486,000 2,534,250 0.13%
PAPA JOHNS INTL INC    (COM) PZZA 226,330,000 2,850,151 0.13%
ANSYS INC    (COM) ANSS 224,927,000 771,010 0.13%
ACCENTURE PLC IRELAND    (SHS CLASS A) ACN 222,603,000 1,036,712 0.13%
SPLUNK INC    (COM) SPLK 221,910,000 1,116,809 0.13%
PAYCOM SOFTWARE INC    (COM) PAYC 221,777,000 716,032 0.13%
MOTOROLA SOLUTIONS INC    (COM NEW) MSI 217,829,000 1,554,478 0.12%
CHECK POINT SOFTWARE TECH LT    (ORD) CHKP 217,514,000 2,024,703 0.12%
MAGNA INTL INC    (COM) MGA 216,581,000 4,863,706 0.12%
THERMO FISHER SCIENTIFIC INC    (COM) TMO 212,429,000 586,269 0.12%
LOCKHEED MARTIN CORP    (COM) LMT 210,625,000 577,181 0.12%
BROADCOM INC    (COM) 207,750,000 658,249 0.12%
BLACKROCK INC    (COM) BLK 204,817,000 376,439 0.12%
TESLA INC    (COM) TSLA 204,068,000 188,985 0.11%
T-MOBILE US INC    (COM) TMUS 203,243,000 1,951,445 0.11%
SLACK TECHNOLOGIES INC    (COM CL A) 202,955,000 6,527,996 0.11%
IDEX CORP    (COM) IEX 199,580,000 1,262,843 0.11%
CREE INC    (COM) CREE 195,469,000 3,302,400 0.11%
REINSURANCE GRP OF AMERICA I    (COM NEW) RGA 192,497,000 2,454,065 0.11%
CIENA CORP    (COM NEW) CIEN 191,727,000 3,540,006 0.11%
TARGET CORP    (COM) TGT 190,077,000 1,584,902 0.11%
MSCI INC    (COM) MXB 189,996,000 569,156 0.11%
AMERICAN CAMPUS CMNTYS INC    (COM) ACC 189,917,000 5,432,411 0.11%
ISHARES INC    (CORE MSCI EMKT) IEMG 188,842,000 3,967,272 0.11%
MORGAN STANLEY    (COM NEW) MS 188,725,000 3,907,347 0.11%
LATTICE SEMICONDUCTOR CORP    (COM) LSCC 186,231,000 6,559,756 0.10%
LINDE PLC    (SHS) 186,162,000 877,668 0.10%
CHARTER COMMUNICATIONS INC N    (CL A) CHTR 185,457,000 363,612 0.10%
ABIOMED INC    (COM) ABMD 185,398,000 767,503 0.10%
IRHYTHM TECHNOLOGIES INC    (COM) 183,218,000 1,580,969 0.10%
BIO RAD LABS INC    (CL A) BIO 181,016,000 400,930 0.10%
DOVER CORP    (COM) DOV 180,859,000 1,873,022 0.10%
NORTHROP GRUMMAN CORP    (COM) NOC 179,487,000 583,812 0.10%
WASTE MGMT INC DEL    (COM) WMI 177,584,000 1,676,741 0.10%
ETSY INC    (COM) ETSY 176,119,000 1,657,898 0.10%
GILEAD SCIENCES INC    (COM) GILD 175,274,000 2,278,064 0.10%
BOSTON SCIENTIFIC CORP    (COM) BSX 173,871,000 4,952,183 0.10%
PULTE GROUP INC    (COM) PHM 173,466,000 5,097,444 0.10%
BAXTER INTL INC    (COM) BAX 171,205,000 1,988,440 0.10%
INTERNATIONAL BUSINESS MACHS    (COM) IBM 171,050,000 1,416,329 0.10%
ECOLAB INC    (COM) ECL 170,269,000 855,837 0.10%
NRG ENERGY INC    (COM NEW) NRG 170,197,000 5,227,189 0.10%
MANHATTAN ASSOCS INC    (COM) MANH 169,563,000 1,800,027 0.09%
REPLIGEN CORP    (COM) RGEN 168,609,000 1,364,041 0.09%
SERVICENOW INC    (COM) NOW 168,568,000 416,156 0.09%
SITEONE LANDSCAPE SUPPLY INC    (COM) 168,073,000 1,474,715 0.09%
FRESHPET INC    (COM) FRPT 167,152,000 1,997,996 0.09%
AXON ENTERPRISE INC    (COM) 166,371,000 1,695,416 0.09%
NOVANTA INC    (COM) 166,097,000 1,555,653 0.09%
HAIN CELESTIAL GROUP INC    (COM) HAIN 164,164,000 5,209,916 0.09%
WILLIAMS SONOMA INC    (COM) WSM 163,358,000 1,991,930 0.09%
INTERCONTINENTAL EXCHANGE IN    (COM) ICE 162,924,000 1,778,647 0.09%
MKS INSTRS INC    (COM) MKSI 162,868,000 1,438,256 0.09%
ESSENT GROUP LTD    (COM) ESNT 161,228,000 4,445,205 0.09%
REGAL BELOIT CORP    (COM) RBC 159,543,000 1,827,110 0.09%
NORDSON CORP    (COM) NDSN 159,028,000 838,270 0.09%
CHEGG INC    (COM) CHGG 158,999,000 2,363,949 0.09%
ALEXION PHARMACEUTICALS INC    (COM) ALXN 158,735,000 1,414,248 0.09%
GENPACT LIMITED    (SHS) G 158,693,000 4,345,376 0.09%
EVEREST RE GROUP LTD    (COM) RE 158,591,000 769,111 0.09%
STAG INDL INC    (COM) STAG 157,917,000 5,385,977 0.09%
F5 NETWORKS INC    (COM) FFIV 157,903,000 1,132,087 0.09%
STRATEGIC ED INC    (COM) 155,379,000 1,011,250 0.09%
INGERSOLL RAND INC    (COM) 153,713,000 5,466,313 0.09%
WESTERN DIGITAL CORP.    (COM) WDC 153,389,000 3,474,262 0.09%
1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 Next >Full Portfolio View
Total Value As 2020-06-30: 170,175,945,000 SEC FILING
* Portfolios do not reflect changes after reporting
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