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Advisor Resource Council

SEC CIK
0001820879
Latest filing
Jul 28, 2026

AOD holding history

abrdn Total Dynamic Dividend Fund in every 13F filed by Advisor Resource Council, including the quarters it was sold out or no filing was made. Changes compare share counts with the previous calendar quarter.

AOD overviewAll 13F holders of AODFull Q2 2026 holdings

Shares (Q2 2026)
24,005
Value
$250.9K
% of portfolio
0.1%
Quarters held
13
Since Q2 2021
Holdings of AOD by Advisor Resource Council, by quarter
QuarterSharesValue% of portfolioShare changeActionAll holders
Q2 202624,005$250.9K0.1%−866−3.5%ReducedHolders
Q1 202624,871$229.1K0.1%−2,342−8.6%ReducedHolders
Q4 202527,213$271.9K0.1%+27,213NewHolders
Q2 20250$00.0%−313,954−100.0%Sold outHolders
Q1 2025313,954$2.63M0.2%+313,954NewHolders
Q4 20240$00.0%−22,986−100.0%Sold outHolders
Q3 202422,986$209.2K0.1%+22,986NewHolders
Q2 20240$00.0%−31,352−100.0%Sold outHolders
Q1 202431,352$252.7K0.1%−293,252−90.3%ReducedHolders
Q4 2023324,604$2.62M0.3%+324,604NewHolders
Q2 20230$00.0%−19,031−100.0%Sold outHolders
Q1 202319,031$155.5K<0.1%+19,031NewHolders
Q3 20220$00.0%−334,150−100.0%Sold outHolders
Q2 2022334,150$2.70M0.3%+320,482+2,344.8%AddedHolders
Q1 202213,668$131.0K<0.1%−308,495−95.8%ReducedHolders
Q4 2021322,163$3.29M0.3%+308,527+2,262.6%AddedHolders
Q3 202113,636$133.0K<0.1%−292,149−95.5%ReducedHolders
Q2 2021305,785$3.11M0.3%–No prior filingHolders