
ABACUS PLANNING GROUP, INC.
Latest 13F filing data - Q3 2025
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | HCA | 1K | $465.90K |
![]() | TSM | 1K | $302.47K |
![]() | ADI | 948 | $232.92K |
![]() | TRV | 916 | $255.77K |
![]() | MSI | 908 | $415.22K |
![]() | AON | 892 | $318.07K |
![]() | KNSL | 803 | $341.48K |
![]() | TT | 759 | $320.27K |
![]() | GEV | 681 | $418.77K |
![]() | CDNS | 648 | $227.62K |
![]() | ELV | 628 | $202.85K |
![]() | NFLX | 598 | $716.95K |
![]() | MA | 571 | $324.99K |
![]() | UI | 515 | $340.20K |
![]() | AMP | 462 | $226.96K |
![]() | APP | 428 | $307.54K |
![]() | ASML | 422 | $408.53K |
![]() | GS | 378 | $301.21K |
![]() | BLK | 316 | $368.56K |
![]() | MCK | 305 | $235.63K |

HCA Healthcare, Inc.
HCA
Shares Held
1K
Value
$465.90K

Taiwan Semiconductor Manufacturing Company Limited
TSM
Shares Held
1K
Value
$302.47K

Analog Devices, Inc.
ADI
Shares Held
948
Value
$232.92K

The Travelers Companies, Inc.
TRV
Shares Held
916
Value
$255.77K

Motorola Solutions, Inc.
MSI
Shares Held
908
Value
$415.22K

Aon plc
AON
Shares Held
892
Value
$318.07K

Kinsale Capital Group, Inc.
KNSL
Shares Held
803
Value
$341.48K

Trane Technologies plc
TT
Shares Held
759
Value
$320.27K

GE Vernova Inc.
GEV
Shares Held
681
Value
$418.77K

Cadence Design Systems, Inc.
CDNS
Shares Held
648
Value
$227.62K

Elevance Health Inc.
ELV
Shares Held
628
Value
$202.85K

Netflix, Inc.
NFLX
Shares Held
598
Value
$716.95K

Mastercard Incorporated
MA
Shares Held
571
Value
$324.99K

Ubiquiti Inc.
UI
Shares Held
515
Value
$340.20K

Ameriprise Financial, Inc.
AMP
Shares Held
462
Value
$226.96K

AppLovin Corporation
APP
Shares Held
428
Value
$307.54K

ASML Holding N.V.
ASML
Shares Held
422
Value
$408.53K

The Goldman Sachs Group, Inc.
GS
Shares Held
378
Value
$301.21K

BlackRock, Inc.
BLK
Shares Held
316
Value
$368.56K

McKesson Corporation
MCK
Shares Held
305
Value
$235.63K
