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Abbott Laboratories shares owned by Franklin Resources

Quarter-by-quarter ownership of Abbott Laboratories (ABT) shares owned by Franklin Resources from 13F filings

Historical chart of Franklin Resources investment in Abbott Laboratories

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All positions including Abbott Laboratories held by Franklin Resources consolidated in one spreadsheet with up to 7 years of data

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Quarterly reported holdings in Abbott Laboratories by Franklin Resources

Quarter filed Position value Share count Share price at filing
2024-09-30 $1.1B 9.8M 117.25
2024-06-30 $892M 8.6M 103.91
2024-03-31 $974M 8.6M 113.66
2023-12-31 $915M 8.3M 110.07
2023-09-30 $793M 8.2M 96.85
2023-06-30 $878M 8.1M 109.02
2023-03-31 $816M 8.1M 101.26
2022-12-31 $1.1B 9.7M 109.79
2022-09-30 $1.0B 11M 96.76
2022-06-30 $1.1B 11M 108.65
2022-03-31 $1.3B 11M 118.36
2021-12-31 $1.4B 10M 140.74
2021-09-30 $1.2B 10M 118.13
2021-06-30 $1.2B 11M 115.93
2021-03-31 $1.3B 11M 119.84
2020-12-31 $1.2B 11M 109.49
2020-09-30 $1.1B 10M 108.83
2020-06-30 $972M 9.7M 100.19
2020-03-31 $736M 9.3M 78.90
2019-12-31 $815M 9.4M 86.86
2019-09-30 $781M 9.3M 83.66
2019-06-30 $783M 9.3M 84.11
2019-03-31 $747M 9.4M 79.92
2018-12-31 $678M 9.4M 72.33
2018-09-30 $677M 9.2M 73.36
2018-06-30 $564M 9.3M 60.99
2018-03-31 $542M 9.0M 59.92
2017-12-31 $491M 8.6M 57.07
2017-09-30 $459M 8.6M 53.36
2017-06-30 $420M 8.6M 48.61
2017-03-31 $392M 8.8M 44.41
2016-12-31 $338M 8.8M 38.41
2016-09-30 $384M 9.1M 42.29
2016-06-30 $358M 9.1M 39.31
2016-03-31 $358M 8.6M 41.83
2015-12-31 $373M 8.3M 44.91
2015-09-30 $329M 8.2M 40.22
2015-06-30 $397M 8.1M 49.08
2015-03-31 $372M 8.0M 46.33
2014-12-31 $359M 8.0M 45.02
2014-09-30 $325M 7.8M 41.59
2014-06-30 $313M 7.6M 40.90
2014-03-31 $292M 7.6M 38.51
2013-12-31 $282M 7.3M 38.33
2013-09-30 $239M 7.2M 33.19
2013-06-30 $263M 7.5M 34.88
2013-03-31 $273M 7.7M 35.32
2012-12-31 $547M 8.4M 65.50
2012-09-30 $599M 8.7M 68.56
2012-06-30 $725M 11M 64.47
2012-03-31 $694M 11M 61.29
2011-12-31 $653M 12M 56.23
2011-09-30 $574M 11M 51.14
2011-06-30 $623M 12M 52.62
2011-03-31 $562M 12M 49.05
2010-12-31 $493M 10M 47.91