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THQ

Abrdn Healthcare Opportunities Fund
1W: -4.7% 1M: -10.2% 3M: -6.4% YTD: -6.0% 1Y: +2.3% 3Y: +31.9% 5Y: +10.5%
$17.78
-0.07 (-0.39%)
 
Weekly Expected Move ±2.8%
$17 $17 $18 $18 $19
ETF NYSE · AUM $736.8M
Total Changes (90d)
0
New Holdings
0
Removed Holdings
0
66 changes · Page 1 of 2
Date Holding Name Ticker Change Type Old Value New Value
2026-02-28 HCA HCA New — 9180 shares
2026-02-28 BDX BDX New — 115741 shares
2026-02-28 LUCD LUCD New — 2500000 shares
2026-02-28 VCYT VCYT New — 162102 shares
2026-02-28 0LO4.L 0LO4.L New — 106216 shares
2026-02-28 LTC LTC New — 166842 shares
2026-02-28 REGN REGN New — 7797 shares
2026-02-28 OCS OCS New — 426422 shares
2026-02-28 MDRX MDRX New — 338217 shares
2026-02-28 GRTX GRTX New — 314430 shares
2026-02-28 OHI OHI New — 297889 shares
2026-02-28 CVS CVS New — 275073 shares
2026-02-28 UNH.BA UNH.BA New — 71799 shares
2026-02-28 KRYS KRYS New — 10201 shares
2026-02-28 EXAS EXAS New — 177529 shares
2026-02-28 BM8.F BM8.F New — 242472 shares
2026-02-28 MCK MCK New — 6735 shares
2026-02-28 SERA SERA New — 1133977 shares
2026-02-28 MPW MPW New — 266557 shares
2026-02-28 SBRA SBRA New — 626862 shares
2026-02-28 ABT.SW ABT.SW New — 392156 shares
2026-02-28 RMD RMD New — 16139 shares
2026-02-28 BMY BMY New — 394693 shares
2026-02-28 MYGN MYGN New — 679053 shares
2026-02-28 ISRG ISRG New — 60410 shares
2026-02-28 ANTM ANTM New — 51603 shares
2026-02-28 VCEL VCEL New — 224324 shares
2026-02-28 GVMXX GVMXX New — 5487182 shares
2026-02-28 WELL WELL New — 51783 shares
2026-02-28 PFE PFE New — 482171 shares
2026-02-28 RGEN RGEN New — 54330 shares
2026-02-28 THC THC New — 25976 shares
2026-02-28 NHI NHI New — 5596 shares
2026-02-28 2M6.DE 2M6.DE New — 349732 shares
2026-02-28 TNDM TNDM New — 306067 shares
2026-02-28 ACHC ACHC New — 273647 shares
2026-02-28 RCUS RCUS New — 131629 shares
2026-02-28 SYK SYK New — 35162 shares
2026-02-28 DHC DHC New — 293879 shares
2026-02-28 NEO NEO New — 792263 shares
2026-02-28 PODD PODD New — 22678 shares
2026-02-28 ABVX ABVX New — 95261 shares
2026-02-28 CYTK CYTK New — 300343 shares
2026-02-28 MRK MRK New — 412754 shares
2026-02-28 ZTS ZTS New — 144562 shares
2026-02-28 0EE0.L 0EE0.L New — 103074 shares
2026-02-28 LIVN LIVN New — 165092 shares
2026-02-28 INSP INSP New — 165830 shares
2026-02-28 BSX BSX New — 193269 shares
2026-02-28 SBTX SBTX New — 1330994 shares

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms