BlackRock
Abbvie Inc · NASDAQ
149,488,412 sh · $37.62B
BlackRock
13F filer
$37.62B
149,488,412 sh
Renaissance Technologies
13F filer
$214.9M
928,071 sh
Two Sigma Investments
13F filer
$47.7M
219,418 sh
Bridgewater Associates
13F filer
$6.6M
30,362 sh
Gardner Russo & Quinn
13F filer
$3.1M
12,410 sh
Dodge & Cox
13F filer
$2.6M
10,393 sh
BlackRock
Abbvie Inc · NASDAQ
149,488,412 sh · $37.62B
Dodge & Cox
Abbvie Inc · NASDAQ
10,393 sh · $2.6M
Gardner Russo & Quinn
Abbvie Inc · NASDAQ
12,410 sh · $3.1M
Two Sigma Investments
Abbvie Inc · NASDAQ
219,418 sh · $47.7M
Bridgewater Associates
Abbvie Inc · NASDAQ
30,362 sh · $6.6M
BlackRock
Abbvie Inc · NASDAQ
150,749,625 sh · $32.79B
Dodge & Cox
Abbvie Inc · NASDAQ
10,393 sh · $2.3M
Gardner Russo & Quinn
Abbvie Inc · NASDAQ
12,410 sh · $2.7M
BlackRock
Abbvie Inc · NASDAQ
151,174,543 sh · $34.54B
Dodge & Cox
Abbvie Inc · NASDAQ
10,393 sh · $2.4M