Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$20.5M Sell
199,720
-26,990
-12% -$3.05M 1.27% 21
2025
Q4
$28.4M Sell
226,710
-1,263
-0.6% -$161K 1.76% 17
2025
Q3
$30.5M Sell
227,973
-16,992
-7% -$2.23M 1.87% 14
2025
Q2
$33.3M Sell
244,965
-11,299
-4% -$1.49M 2.14% 13
2025
Q1
$34M Sell
256,264
-6,382
-2% -$812K 2.28% 10
2024
Q4
$29.7M Hold
262,646
2.02% 11
2024
Q3
$29.9M Buy
262,646
+3,135
+1% +$344K 1.96% 11
2024
Q2
$27M Sell
259,511
-7,228
-3% -$766K 1.88% 13
2024
Q1
$30.3M Hold
266,739
2.14% 11
2023
Q4
$29.4M Buy
266,739
+208
+0.1% +$20.8K 2.25% 12
2023
Q3
$25.8M Buy
266,531
+230
+0.1% +$24.2K 2.12% 14
2023
Q2
$29M Sell
266,301
-878
-0.3% -$93.6K 2.34% 12
2023
Q1
$27.1M Hold
267,179
2.3% 13
2022
Q4
$29.3M Sell
267,179
-10
-0% -$1.03K 2.57% 11
2022
Q3
$25.9M Sell
267,189
-236
-0.1% -$25.2K 2.33% 13
2022
Q2
$29.1M Sell
267,425
-4,440
-2% -$504K 2.44% 13
2022
Q1
$32.2M Sell
271,865
-690
-0.3% -$85.5K 2.26% 12
2021
Q4
$38.4M Sell
272,555
-1,031
-0.4% -$132K 2.71% 10
2021
Q3
$32.3M Sell
273,586
-80
-0% -$9.83K 2.52% 11
2021
Q2
$31.7M Sell
273,666
-3,935
-1% -$459K 2.48% 11
2021
Q1
$33.3M Sell
277,601
-180
-0.1% -$21.3K 2.8% 10
2020
Q4
$30.4M Sell
277,781
-1,645
-0.6% -$179K 2.72% 9
2020
Q3
$30.4M Sell
279,426
-665
-0.2% -$67.5K 3.03% 8
2020
Q2
$25.6M Sell
280,091
-85
-0% -$7.68K 2.81% 9
2020
Q1
$22.1M Sell
280,176
-1,035
-0.4% -$86.4K 2.95% 9
2019
Q4
$24.4M Buy
281,211
+896
+0.3% +$75K 2.55% 11
2019
Q3
$23.5M Buy
280,315
+1,705
+0.6% +$145K 2.6% 8
2019
Q2
$23.4M Sell
278,610
-1,095
-0.4% -$86.2K 2.57% 8
2019
Q1
$22.4M Buy
279,705
+480
+0.2% +$35.7K 2.49% 8
2018
Q4
$20.2M Sell
279,225
-395
-0.1% -$27.8K 2.56% 9
2018
Q3
$20.5M Sell
279,620
-760
-0.3% -$49.9K 2.3% 11
2018
Q2
$17.1M Hold
280,380
2.06% 16
2018
Q1
$16.8M Hold
280,380
2.11% 15
2017
Q4
$16M Hold
280,380
1.98% 15
2017
Q3
$15M Hold
280,380
1.91% 15
2017
Q2
$13.6M Hold
280,380
1.8% 19
2017
Q1
$12.5M Sell
280,380
-125
-0% -$5.4K 1.69% 21
2016
Q4
$10.8M Sell
280,505
-1,860
-0.7% -$73.8K 1.56% 22
2016
Q3
$11.9M Sell
282,365
-2,219
-0.8% -$95.1K 1.79% 20
2016
Q2
$11.2M Sell
284,584
-55
-0% -$2.19K 1.73% 20
2016
Q1
$11.9M Buy
284,639
+2,695
+1% +$107K 1.93% 19
2015
Q4
$12.7M Sell
281,944
-556
-0.2% -$24.5K 2.13% 13
2015
Q3
$11.4M Buy
282,500
+633
+0.2% +$29.8K 1.96% 18
2015
Q2
$13.8M Sell
281,867
-2,500
-0.9% -$120K 2.02% 17
2015
Q1
$13.2M Buy
284,367
+8,832
+3% +$406K 1.87% 17
2014
Q4
$12.4M Buy
275,535
+6,196
+2% +$270K 1.8% 19
2014
Q3
$11.2M Sell
269,339
-15,132
-5% -$640K 1.71% 20
2014
Q2
$11.6M Sell
284,471
-775
-0.3% -$30.4K 1.62% 20
2014
Q1
$11M Sell
285,246
-100
-0% -$3.85K 1.64% 19
2013
Q4
$10.9M Sell
285,346
-80
-0% -$2.95K 1.83% 19
2013
Q3
$9.47M Hold
285,426
1.66% 22
2013
Q2
$9.96M Buy
+285,426
New +$10.5M 1.51% 23

Other funds holding ABT

S&CO Inc's ABT Position: Q1 2026 in Review

S&CO Inc reduced its Abbott (ABT) stake by 12% in Q1 2026, selling an estimated $3.05M and leaving 199,720 shares worth $20.5M. The position accounts for 1.27% of the portfolio, ranked #21.

S&CO Inc first reported a position in ABT in Q2 2013 and has held it in 52 quarters since. The position peaked at $38.4M in Q4 2021. 3,083 funds tracked by Wall St. Rank hold ABT as of Q1 2026.

  • S&CO Inc held 199,720 shares of Abbott worth $20.5M as of Q1 2026.
  • S&CO Inc sold 26,990 Abbott shares in Q1 2026, an estimated $3.05M.
  • Abbott made up 1.27% of S&CO Inc's portfolio in Q1 2026, its #21 holding.
  • S&CO Inc first reported a position in Abbott in Q2 2013 and has held it in 52 quarters since.
  • S&CO Inc's Abbott position peaked at $38.4M in Q4 2021.
  • 3,083 funds tracked by Wall St. Rank held Abbott as of Q1 2026.

Based on S&CO Inc's 13F filing for Q1 2026, filed 7 May 2026.