First-hand SEC EDGAR 13F-HR institutional holdings: the top 25 holders ranked by market value, plus the largest adds and trims this quarter. Quarter 2026-03-31.
| Filer | Shares | Market Value | Δ Shares | Change |
|---|---|---|---|---|
PNC FINANCIAL SERVICES GROUP, INC.CIK 0000713676 | 4,909,034 | $1.23B | -1,317 | ↓ DEC |
VANGUARD CAPITAL MANAGEMENT LLCCIK 0002100119 | 1,630,683 | $409.81M | +1,630,683 | NEW |
BlackRock, Inc.CIK 0002012383 | 1,581,166 | $397.36M | +22,016 | ↑ INC |
STATE STREET CORPCIK 0000093751 | 1,383,027 | $347.57M | +20,578 | ↑ INC |
VANGUARD PORTFOLIO MANAGEMENT LLCCIK 0002100121 | 1,105,889 | $277.92M | +1,105,889 | NEW |
Invesco Ltd.CIK 0000914208 | 996,546 | $250.44M | +177,434 | ↑ INC |
GEODE CAPITAL MANAGEMENT, LLCCIK 0001214717 | 862,023 | $216.01M | +51,607 | ↑ INC |
CHARLES SCHWAB INVESTMENT MANAGEMENT INCCIK 0000884546 | 763,989 | $192.00M | +585,595 | ↑ INC |
ProShare Advisors LLCCIK 0001357955 | 597,974 | $150.28M | +99,508 | ↑ INC |
BANK OF AMERICA CORP /DE/CIK 0000070858 | 479,782 | $120.57M | +115,393 | ↑ INC |
MORGAN STANLEYCIK 0000895421 | 457,757 | $115.04M | +58,679 | ↑ INC |
DIMENSIONAL FUND ADVISORS LPCIK 0000354204 | 225,993 | $56.79M | +900 | ↑ INC |
Vest Financial, LLCCIK 0001709632 | 185,010 | $46.49M | +32,169 | ↑ INC |
CAISSE DE DEPOT ET PLACEMENT DU QUEBECCIK 0000898286 | 182,312 | $45.82M | +44,717 | ↑ INC |
NORTHERN TRUST CORPCIK 0000073124 | 177,736 | $44.67M | -947 | ↓ DEC |
FRANKLIN RESOURCES INCCIK 0000038777 | 167,302 | $42.04M | -332,000 | ↓ DEC |
Bank of New York Mellon CorpCIK 0001390777 | 164,581 | $41.36M | +14,086 | ↑ INC |
GOLDMAN SACHS GROUP INCCIK 0000886982 | 162,115 | $40.74M | -103,868 | ↓ DEC |
NOMURA ASSET MANAGEMENT CO LTDCIK 0001055964 | 145,427 | $36.55M | +25,107 | ↑ INC |
DEUTSCHE BANK AG\CIK 0000948046 | 142,149 | $35.72M | +25,059 | ↑ INC |
MILLENNIUM MANAGEMENT LLCCIK 0001273087 | 140,445 | $35.30M | +114,209 | ↑ INC |
VANGUARD FIDUCIARY TRUST COCIK 0000933478 | 139,898 | $35.16M | +139,898 | NEW |
UBS Group AGCIK 0001610520 | 139,160 | $34.97M | +6,992 | ↑ INC |
BARCLAYS PLCCIK 0000312069 | 122,949 | $30.90M | +39,808 | ↑ INC |
UBS AM, a distinct business unit of UBS ASSET MANAGEMENT AMERICAS LLCCIK 0000861177 | 118,140 | $29.69M | -591 | ↓ DEC |
| Filer | Δ Shares | Value |
|---|---|---|
VANGUARD CAPITAL MANAGEMENT LLCNEW | +1,630,683 | $409.81M |
VANGUARD PORTFOLIO MANAGEMENT LLCNEW | +1,105,889 | $277.92M |
CHARLES SCHWAB INVESTMENT MANAGEMENT INC↑ INC | +585,595 | $192.00M |
Invesco Ltd.↑ INC | +177,434 | $250.44M |
VANGUARD FIDUCIARY TRUST CONEW | +139,898 | $35.16M |
BANK OF AMERICA CORP /DE/↑ INC | +115,393 | $120.57M |
MILLENNIUM MANAGEMENT LLC↑ INC | +114,209 | $35.30M |
ProShare Advisors LLC↑ INC | +99,508 | $150.28M |
MORGAN STANLEY↑ INC | +58,679 | $115.04M |
Focus Partners Wealth↑ INC | +56,205 | $28.76M |
| Filer | Δ Shares | Value |
|---|---|---|
FRANKLIN RESOURCES INC↓ DEC | -332,000 | $42.04M |
GOLDMAN SACHS GROUP INC↓ DEC | -103,868 | $40.74M |
HEALTHCARE OF ONTARIO PENSION PLAN TRUST FUND↓ DEC | -32,271 | $402.10K |
TWO SIGMA INVESTMENTS, LP↓ DEC | -23,098 | $4.10M |
RENAISSANCE TECHNOLOGIES LLC↓ DEC | -22,320 | $4.56M |
VOLORIDGE INVESTMENT MANAGEMENT, LLC↓ DEC | -21,502 | $328.71K |
MAVERICK CAPITAL LTD↓ DEC | -14,727 | $650.89K |
CANADA PENSION PLAN INVESTMENT BOARD↓ DEC | -14,300 | $1.19M |
JPMORGAN CHASE & CO↓ DEC | -14,059 | $8.71M |
PRUDENTIAL PLC↓ DEC | -13,326 | $365.40K |