
Barclays Bank Q2 major portfolio adjustment: Heavy positions added to S&P and Nasdaq ETFs, while reducing holdings in Microsoft and Apple

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Barclays Bank submitted its second quarter holding report as of June 30, 2024. The report shows that the total market value of holdings reached $327 billion, an increase of 6.86% compared to the previous period. Barclays increased its holdings in 1122 individual stocks while reducing holdings in 2854 individual stocks. The top ten holdings accounted for 41.94% of the total market value, with S&P 500 Index ETF and Nasdaq 100 ETF ranking first and second, while Microsoft and Apple saw reductions in holdings
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