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# U.S. Mutual Funds
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Aberdeen U.S. Equity Fund

Fund Holdings

Name Ticker Security No. Shares Market Value Percent
Johnson & JohnsonJNJ US47816010416684611497357.863.58%
KRAFT FOODS GROUPKFT US50075N10425920210718002.703.33%
KelloggK US48783610819494810071013.683.13%
QUALCOMM Inc.QCOM US7475251031534009582898.002.98%
Oracle Corp.ORCL US68389X1052898009117108.002.84%
Comcast CorpCMCSA US20030N1012467008818291.502.74%
Pepsico Inc.PEP US7134481081219338629198.412.68%
CVS Caremark CorpCVS US1266501001754028492964.842.64%
Procter & GamblePG US7427181091220128462752.322.63%
CashCash83407498340749.522.59%
Philip MorrisPM US718172109925128320529.282.59%
Wells Fargo & Co.WFC US9497461012389758251806.752.57%
Chevron Corp.CVX US166764100698008135888.002.53%
TJXTJX US8725401091749667836727.142.44%
EMC CorpEMC US2686481022868297821826.832.43%
Baxter International Inc.BAX US0718131091248077520869.822.34%
Quest DiagnosticsDGX US74834L1001124107130166.302.22%
AflacAFL US0010551021455566969221.282.17%
Visa Inc.V US92826C839499906712657.202.09%
DeereDE US244199105810176683092.332.08%
ExxonMobil CorpXOM US30231G102714536534376.852.03%
Cisco SystemsCSCO US17275R1023373006440743.502.00%
Canadian National RailwaysCNI US136375102726426409203.661.99%
Praxair ComPX US74005P104615716395995.481.99%
Alliance Data SystemsADS US018581108448886371851.601.98%
Potash Corporation of SaskatchewanPOT US73755L1071462206348872.401.97%
Intercontinental ExchangeICE US45865V100475866348448.261.97%
United Technologies CorporationUTX US913017109788026169408.581.92%
Aetna ComAET US00817Y1081493275913349.201.84%
SchlumbergerSLB US806857108815355897426.551.83%
Solera Holdings Inc.SLH US83421A1041340725881738.641.83%
JPMorgan ChaseJPM US46625H1001437075817259.361.81%
STAPLES INCSPLS US8550301025029725794237.441.80%
Target Corp.TGT US87612E106892005661524.001.76%
State Street Boston CorpSTT US8574771031239055199053.801.62%
Telus CorpT CN87971M103816845147790.971.60%
Starwood Hotels & Resorts WorldwideHOT US85590A401879555097871.801.59%
Gilead Sciences Inc.GILD US375558103768005094144.001.58%
Royal Bank of CanadaRY CN780087102860644945378.161.54%
Cognizant Technology SolutionsCTSH US192446102699004885311.001.52%
Charles Schwab CorpSCHW US8085131053732004773228.001.48%
Emerson ElectricEMR US291011104987714767676.171.48%
BorgWarnerBWA US099724106647664475978.261.39%
St. Jude MedicalSTJ US790849103971424092592.461.27%
MonsantoMON US61166W101390153551145.301.10%
Bombardier Inc.BBD/B CN0977512008638843239693.861.01%
EOG ResourcesEOG US26875P101282453164852.250.98%
Apache Corp.APA US037411105359353107299.450.97%
National Oilwell VarcoNOV US637071101382003060202.000.95%
TELUS CORPORATION -NON VOTETU US87971M202284841781104.520.55%

Disclosure

Holdings are subject to change at any time. Holdings should not be relied upon in making investment decisions and should not be construed as research or investment advice regarding specific securities. By accessing the portfolio holdings, you agree not to reproduce, distribute or disseminate the portfolio holdings, in whole or in part.