1V

1290 VT Socially Responsible Portfolio

Mutual Fund
EQ ADVISORS TRUST
Last update 2025-06-23 399 Stocks (3 new)
Value $240.00 Mil Turnover 0 %
Countries:
1290 VT Socially Responsible P... Top Holdings of 2025-03-31 View Full List
Ticker
Company
Shares
Value ($1000)
Shares Change %
Weighting %
Trade Impact %
% of Shares outstanding
3M Change %
YTD Change %
Market Cap $Mil
Industry
NVDA
NVIDIA Corp
233,300
25,285.0
-3.55%
10.530
-0.43%
0.000
+68.92%
+24.40%
4,073,453.7
Semiconductors
MSFT
Microsoft Corp
67,286
25,258.5
-3.36%
10.520
-0.37%
0.000
+38.00%
+20.34%
3,755,441.4
Software
GOOGL
Alphabet Inc
55,662
8,607.6
-3.65%
3.590
-0.15%
0.000
+26.47%
+1.32%
2,326,066.7
Interactive Media
GOOG
Alphabet Inc
47,447
7,412.6
-4.27%
3.090
-0.15%
0.000
+24.98%
+1.11%
2,326,066.7
Interactive Media
TSLA
Tesla Inc
27,522
7,132.6
-2.92%
2.970
-0.13%
0.000
+39.56%
-17.76%
1,069,711.8
Vehicles & Parts
V
Visa Inc
16,475
5,773.8
+0.02%
2.410
0%
0.000
+6.35%
+11.71%
687,358.6
Credit Services
MA
Mastercard Inc
7,809
4,280.3
-4.01%
1.780
-0.06%
0.000
+6.10%
+6.58%
507,400.0
Credit Services
PG
Procter & Gamble Co
22,435
3,823.4
-3.17%
1.590
-0.05%
0.000
-5.05%
-3.74%
371,187.9
Consumer Packaged Goods
ABBV
AbbVie Inc
16,834
3,527.1
-3.48%
1.470
-0.04%
0.000
+8.60%
+8.20%
330,511.7
Drug Manufacturers
HD
The Home Depot Inc
9,463
3,468.1
-3.38%
1.440
-0.05%
0.000
+5.33%
-3.42%
369,128.2
Retail - Cyclical

1290 VT Socially Responsible Portfolio's Historical Top Holdings Breakdowns

1290 VT Socially Responsible Portfolio's Top Stock Picks View Full List
Ticker
Company
Date
Action
Impact %
Price Range
Price
Price Change from Avrg%
Comment
Current Shares
Share Change
NVDA
NVIDIA Corp
2025-03-31
Reduce
Reduce
-0.43%
106.98 ($126.74) 149.43
$167.03
31.79%
Reduce -3.55%
233,300
-8,575
MSFT
Microsoft Corp
2025-03-31
Reduce
Reduce
-0.37%
375.39 ($407.71) 447.2
$505.27
23.93%
Reduce -3.36%
67,286
-2,342
GOOGL
Alphabet Inc
2025-03-31
Reduce
Reduce
-0.15%
154.33 ($181.36) 206.38
$191.34
5.50%
Reduce -3.65%
55,662
-2,110
GOOG
Alphabet Inc
2025-03-31
Reduce
Reduce
-0.15%
156.06 ($183.12) 207.71
$192.11
4.91%
Reduce -4.27%
47,447
-2,116
AXON
Axon Enterprise Inc
2025-03-31
New Buy
New Buy
+0.15%
496.65 ($585.29) 710.01
$720.74
23.14%
New holding
685
685
TSLA
Tesla Inc
2025-03-31
Reduce
Reduce
-0.13%
222.15 ($333.26) 428.22
$332.11
-0.35%
Reduce -2.92%
27,522
-828
CBOE
Cboe Global Markets Inc
2025-03-31
New Buy
New Buy
+0.10%
190.84 ($207.42) 226.29
$241.18
16.28%
New holding
1,009
1,009
NTAP
NetApp Inc
2025-03-31
New Buy
New Buy
+0.07%
87.84 ($110.55) 126.3
$104.95
-5.07%
New holding
1,961
1,961
MA
Mastercard Inc
2025-03-31
Reduce
Reduce
-0.06%
504.67 ($544.39) 576.31
$558.76
2.64%
Reduce -4.01%
7,809
-326
HD
The Home Depot Inc
2025-03-31
Reduce
Reduce
-0.05%
347.25 ($389.72) 424.87
$371.01
-4.80%
Reduce -3.38%
9,463
-331

1290 VT Socially Responsible Portfolio Total Holding History ($B)

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1290 VT Socially Responsible Portfolio's Asset Allocation

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1290 VT Socially Responsible Portfolio Past Portfolios

Portfolio Date Number of Stocks New Stocks Total Value ($Mil) Q/Q Turnover

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1290 VT Socially Responsible Portfolio's Hypothetical Growth since 2025-03-31

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