SEC 13F Intelligence

North Star Asset Management Inc / ABT

North Star Asset Management Inc’s Abbott Laboratories Position

Does North Star Asset Management Inc own Abbott Laboratories (ABT)? Yes326.8K shares worth $34M (+1.46% of its 13F portfolio) as of Q1 2026, up from 316.8K shares the prior filed quarter.

Position Value
$34M
Q1 2026
Shares
326.8K
% of Portfolio
+1.46%
Quarters Held
29
currently held

Position History ABT

Reported value by quarter
Q4 ’18: $20MQ4 ’18Q1 ’19: $22MQ2 ’19: $23MQ3 ’19: $22MQ4 ’19: $23MQ4 ’19Q1 ’20: $21MQ2 ’20: $23MQ3 ’20: $27MQ4 ’20: $27MQ4 ’20Q1 ’21: $30MQ2 ’21: $29MQ3 ’21: $30MQ4 ’21: $36MQ4 ’21Q1 ’22: $30MQ2 ’22: $28MQ3 ’22: $25MQ1 ’23: $28MQ1 ’23Q2 ’23: $30MQ3 ’23: $28MQ4 ’23: $32MQ1 ’24: $33MQ1 ’24Q2 ’24: $31MQ3 ’24: $35MQ4 ’24: $35MQ1 ’25: $41MQ1 ’25Q2 ’25: $41MQ3 ’25: $41MQ4 ’25: $40MQ1 ’26: $34MQ1 ’26filingsflow.com
QuarterSharesValue% of Portfolio
Q1 2026326.8K$34M+1.46%
Q4 2025316.8K$40M+1.60%
Q3 2025304.5K$41M+1.65%
Q2 2025305.1K$41M+1.75%
Q1 2025308.5K$41M+1.87%
Q4 2024308.5K$35M+1.54%
Q3 2024305.3K$35M+1.56%
Q2 2024300.0K$31M+1.48%
Q1 2024293.8K$33M+1.58%
Q4 2023292.2K$32M+1.65%
Q3 2023285.7K$28M+1.59%
Q2 2023279.5K$30M+1.68%
Q1 2023275.7K$28M+1.64%
Q3 2022259.1K$25M+1.72%
Q2 2022255.1K$28M+1.83%
Q1 2022254.8K$30M+1.66%
Q4 2021257.2K$36M+1.82%
Q3 2021256.2K$30M+1.66%
Q2 2021252.7K$29M+1.62%
Q1 2021249.8K$30M+1.79%
Q4 2020251.2K$27M+1.74%
Q3 2020251.9K$27M+2.02%
Q2 2020254.9K$23M+1.85%
Q1 2020261.6K$21M+1.99%
Q4 2019264.6K$23M+1.65%
Q3 2019265.5K$22M+1.74%
Q2 2019270.7K$23M+1.78%
Q1 2019271.1K$22M+1.75%
Q4 2018273.9K$20M+1.88%

Common-stock position only; options are excluded. Quarters where the fund filed no 13F or reported no position are absent. See North Star Asset Management Inc’s full portfolio or all institutional holders of ABT.