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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

Institutions72.0%
Insiders30.2%
Institutions Count421
Institutions 72.0%Insiders 30.2%Float (Other) 0.0%
13F Filers (top 25)25Quarter 2026-03-31
Top-25 Reported Value$4.50BSum of shown holders' market value
Net Position Change10 adds · 10 trimsLargest movers this quarter

Top Holders by Value

25 shown
FilerSharesMarket ValueΔ SharesChange
ARK Investment Management LLCCIK 0001697748
9,607,745$434.46M+2,050,162↑ INC
BlackRock, Inc.CIK 0002012383
8,968,330$405.55M+1,452,220↑ INC
BAILLIE GIFFORD & COCIK 0001088875
8,649,356$391.12M-92,086↓ DEC
SUSQUEHANNA INTERNATIONAL GROUP, LLPCIK 0001446194
6,872,288$310.76M-2,970,686↓ DEC
GC Wealth Management RIA, LLCCIK 0002011169
6,611,211$298.96M-150,296↓ DEC
SOFTBANK GROUP CORP.CIK 0001065521
5,405,406$244.43M–no_change
JANE STREET GROUP, LLCCIK 0001595888
5,328,354$240.95M-63,676↓ DEC
VANGUARD CAPITAL MANAGEMENT LLCCIK 0002100119
4,918,122$222.40M+4,918,122NEW
VANGUARD PORTFOLIO MANAGEMENT LLCCIK 0002100121
4,679,057$211.59M+4,679,057NEW
JPMORGAN CHASE & COCIK 0000019617
4,933,193$209.02M+23,273↑ INC
Sumitomo Mitsui Trust Group, Inc.CIK 0001475365
4,326,313$195.64M+821,490↑ INC
Amova Asset Management Americas, Inc.CIK 0001480751
4,326,313$195.55M+821,490↑ INC
CITADEL ADVISORS LLCCIK 0001423053
3,757,205$169.90M+598,335↑ INC
UBS Group AGCIK 0001610520
3,401,637$153.82M+1,653,725↑ INC
FRANKLIN RESOURCES INCCIK 0000038777
2,581,644$116.74M+719,862↑ INC
MORGAN STANLEYCIK 0000895421
2,083,435$94.21M+41↑ INC
GOLDMAN SACHS GROUP INCCIK 0000886982
1,971,956$89.17M-84,027↓ DEC
GEODE CAPITAL MANAGEMENT, LLCCIK 0001214717
1,940,207$87.76M+69,697↑ INC
STATE STREET CORPCIK 0000093751
1,689,761$76.41M+73,423↑ INC
PEAK6 LLCCIK 0001389958
1,617,926$73.16M+111,549↑ INC
Alphabet Inc.CIK 0001652044
1,551,102$70.14M–no_change
Lingotto Investment Management LLPCIK 0001732768
1,415,766$64.02M+272,240↑ INC
VOLORIDGE INVESTMENT MANAGEMENT, LLCCIK 0001556921
1,173,402$53.06M-400,128↓ DEC
TWO SIGMA INVESTMENTS, LPCIK 0001179392
1,003,198$45.36M-648,183↓ DEC
TORONTO DOMINION BANKCIK 0000947263
987,464$44.65M+23,973↑ INC

Top Adds (Buyers)

FilerΔ SharesValue
VANGUARD CAPITAL MANAGEMENT LLCNEW
+4,918,122$222.40M
VANGUARD PORTFOLIO MANAGEMENT LLCNEW
+4,679,057$211.59M
ARK Investment Management LLC↑ INC
+2,050,162$434.46M
UBS Group AG↑ INC
+1,653,725$153.82M
BlackRock, Inc.↑ INC
+1,452,220$405.55M
Sumitomo Mitsui Trust Group, Inc.↑ INC
+821,490$195.64M
Amova Asset Management Americas, Inc.↑ INC
+821,490$195.55M
FRANKLIN RESOURCES INC↑ INC
+719,862$116.74M
CANADA PENSION PLAN INVESTMENT BOARD↑ INC
+718,700$32.79M
VANGUARD FIDUCIARY TRUST CONEW
+654,299$29.59M

Top Trims (Sellers)

FilerΔ SharesValue
SUSQUEHANNA INTERNATIONAL GROUP, LLP↓ DEC
-2,970,686$310.76M
BANK OF AMERICA CORP /DE/↓ DEC
-725,709$18.76M
TWO SIGMA INVESTMENTS, LP↓ DEC
-648,183$45.36M
MILLENNIUM MANAGEMENT LLC↓ DEC
-542,834$1.77M
Walleye Trading LLC↓ DEC
-436,641$26.99M
VOLORIDGE INVESTMENT MANAGEMENT, LLC↓ DEC
-400,128$53.06M
Squarepoint Ops LLC↓ DEC
-376,158$9.17M
Quadrature Capital Ltd↓ DEC
-324,780$895.81K
GROUP ONE TRADING LLC↓ DEC
-302,000$8.20M
CAPITAL FUND MANAGEMENT S.A.↓ DEC
-279,134$15.85M