abrdn Global Premier Properties Fund - COM SH BEN INT (AWP)

Historical Holders from Q1 2016 to Q3 2025

Symbol
AWP on NYSE
CUSIP
00302L108
Type / Class
Equity / COM SH BEN INT
All holders as of June 30, 2025
Q2 2025
Total 13F shares, excl. options
12.8M
Holdings value
$50.9M
% of all portfolios
0%
Grand Portfolio weight change
+0%
Number of holders
84
Number of buys
36
Number of sells
-40
Average Value change %
+0%
Average buys %
+0%
Average sells %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of abrdn Global Premier Properties Fund - COM SH BEN INT (AWP)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 0 $0 -$59.4K 0
2025 Q2 12.8M $50.9M +$741K $3.96 84
2025 Q1 12.6M $49.1M +$1.33M $3.88 89
2024 Q4 12.3M $47.9M +$2.28M $3.86 96
2024 Q3 11.6M $53.5M +$8.87M $4.62 79
2024 Q2 9.6M $36.7M -$2.63M $3.82 79
2024 Q1 10.3M $40.7M -$1.4M $3.96 80
2023 Q4 6.56M $25.4M -$3.35M $3.88 81
2023 Q3 11.7M $42.5M +$619K $3.64 77
2023 Q2 11.5M $45M -$3.24M $3.92 78
2023 Q1 12.3M $50.7M -$1.72M $4.12 82
2022 Q4 12.7M $49.4M +$333K $3.90 82
2022 Q3 12.1M $46.1M -$101K $3.82 75
2022 Q2 12.5M $61.3M +$13.3M $4.91 74
2022 Q1 12M $77.5M +$2.11M $6.44 80
2021 Q4 12.1M $82.7M +$2.58M $6.84 78
2021 Q3 12.1M $73.2M -$1.14M $6.06 80
2021 Q2 12.6M $80.4M -$13M $6.36 79
2021 Q1 14.3M $85.2M +$1.81M $5.95 78
2020 Q4 14M $73.5M -$9.72M $5.26 76
2020 Q3 15.8M $72.9M -$13.5M $4.61 83
2020 Q2 18.7M $87.4M +$2.75M $4.66 85
2020 Q1 18.2M $77.2M +$6.36M $4.24 89
2019 Q4 16.5M $107M +$6.4M $6.48 87
2019 Q3 15.3M $95.1M +$11.5M $6.22 80
2019 Q2 12.1M $76M -$4.48M $6.26 61
2019 Q1 14.7M $88.1M -$8.3M $6.01 69
2018 Q4 16.1M $80.1M +$1.25M $4.98 66
2018 Q3 15.7M $94.9M -$8.59M $6.06 71
2018 Q2 16.9M $108M +$105M $6.38 67
2018 Q1 483K $3.01M +$3.01M $6.24 4
2016 Q1 28.4K $169K $0 $5.95 1