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Institutional Holders · 13F

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.

Ownership

Institutions11.1%
Insiders51.8%
Institutions Count16
Institutions 11.1%Insiders 51.8%Float (Other) 37.1%
13F Filers (top 25)16Quarter 2026-03-31
Top-25 Reported Value$2.31MSum of shown holders' market value
Net Position Change8 adds · 5 trimsLargest movers this quarter

Top Holders by Value

16 shown
FilerSharesMarket ValueΔ SharesChange
NORTHERN TRUST CORPCIK 0000073124
57,320$585.81K-17↓ DEC
VANGUARD CAPITAL MANAGEMENT LLCCIK 0002100119
55,667$568.92K+55,667NEW
FIRST MANHATTAN CO. LLC.CIK 0000728083
40,663$415.58K+40,663NEW
DIMENSIONAL FUND ADVISORS LPCIK 0000354204
38,314$391.57K+957↑ INC
JANE STREET GROUP, LLCCIK 0001595888
12,270$125.40K+12,270NEW
Corient Private Wealth LLCCIK 0001948780
10,100$103.22K-4,500↓ DEC
VANGUARD FIDUCIARY TRUST COCIK 0000933478
6,428$65.69K+6,428NEW
CALDWELL SUTTER CAPITAL, INC.CIK 0000702007
4,000$40.88K–no_change
Tower Research Capital LLC (TRC)CIK 0001533421
372$3.80K-28↓ DEC
MORGAN STANLEYCIK 0000895421
200$2.04K-302↓ DEC
FMR LLCCIK 0000315066
160$1.64K+160NEW
CITIGROUP INCCIK 0000831001
75$767.00+74↑ INC
SBI Securities Co., Ltd.CIK 0001851815
10$102.00–no_change
UBS Group AGCIK 0001610520
5$51.00-97↓ DEC
ACADIAN ASSET MANAGEMENT LLCCIK 0000916542
701$7.00–no_change
ROYAL BANK OF CANADACIK 0001000275
3$0.00+1↑ INC

Top Adds (Buyers)

FilerΔ SharesValue
VANGUARD CAPITAL MANAGEMENT LLCNEW
+55,667$568.92K
FIRST MANHATTAN CO. LLC.NEW
+40,663$415.58K
JANE STREET GROUP, LLCNEW
+12,270$125.40K
VANGUARD FIDUCIARY TRUST CONEW
+6,428$65.69K
DIMENSIONAL FUND ADVISORS LP↑ INC
+957$391.57K
FMR LLCNEW
+160$1.64K
CITIGROUP INC↑ INC
+74$767.00
ROYAL BANK OF CANADA↑ INC
+1$0.00

Top Trims (Sellers)

FilerΔ SharesValue
Corient Private Wealth LLC↓ DEC
-4,500$103.22K
MORGAN STANLEY↓ DEC
-302$2.04K
UBS Group AG↓ DEC
-97$51.00
Tower Research Capital LLC (TRC)↓ DEC
-28$3.80K
NORTHERN TRUST CORP↓ DEC
-17$585.81K