AEF

Abrdn Emerging Markets Ex Ch

-$7.8M

Net Activity

Institutions Holding

62

Popularity Rank

#5500

Avg Weight

0.18%

Total Value

$155.8M

Ownership Trend

62 institutions currently hold AEF, with 29 net buyers and 28 net sellers this quarter.

Institutional Moves

Institutional Moves (Q1 2026)

Neutral

Based on recent trading activity

Net Selling Institutions

28

Net Buying Institutions

29

Key Holders

View all 62 holding institutions

Quarterly Activity

Recent Activity

+$23.4M

Total Buy Value

$143.9M

Total Sell Value

New buy9
Trim22
Add20
Sold out6

29

Net Buyers

28

Net Sellers

Insider Trading (Form 4)

Form 144 Pre-Sale Notices

No Form 144 planned sale filings in the last 90 days

Beneficial Ownership (13D/13G)

1

Active 5%+ Holders

Data as of 2026-07-14
Reporting PersonTypeFiling Date% of Class
First Trust Portfolios L.P.13G/A2026-07-1414.6%

View all Schedule 13D/13G filings

Material Events (8-K)

No Form 8-K filings for this ticker

FAQ

Who are the top institutional investors holding ABRDN EMERGING MARKETS EX CH (AEF)?
Major stakeholders currently include City Of London Investment Management Co LTD ($82.6M), Allspring Global Investments Holdings, LLC ($19.6M), Morgan Stanley ($13.0M). Based on the latest 13F filings, there are a total of 62 tracked investment funds and institutions maintaining positions in AEF.
What is the overall institutional sentiment toward AEF recently?
Institutional sentiment appears Bearish (Net Selling). During the most recent reporting quarter, the stock experienced a net outflow of $7.8M, driven by 29 managers accumulating shares while 28 reduced their exposure.
Which institutions have been selling or reducing their AEF positions?
In the latest period, 22 funds trimmed their holdings, and 6 managers completely exited their positions. The aggregate reported sell value was $143.9M.
Are there any notable investors adding AEF to their portfolios?
Yes, buying activity remains notable. 9 institutions opened new positions in {ticker}, and 20 existing holders added to their shares. The total reported buy value for the quarter amounted to $23.4M.

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