Vanguard-Group

Filing Details

13F-HR • 2025-03-31
Report Date
2025-03-31
Filing Date
2025-05-09
Total Holdings
16,744
Total Value
5531119721493
Accession Number
0001752724-25-099331
Form Type
13F-HR
Manager Name
Vanguard-Group
Data Enrichment
97% identified
16,290 identified454 unidentified

Holdings

16,744 positions • $5.5T total value
Manager:
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Page 82 of 214
QuantumScape Corp
Shares:35.4M
Value:$147.1M
% of Portfolio:0.0% ($147.1M/$5.5T)
Safehold Inc.
Shares:7.8M
Value:$146.4M
% of Portfolio:0.0% ($146.4M/$5.5T)
H2O AMERICA
Shares:2.7M
Value:$146.3M
% of Portfolio:0.0% ($146.3M/$5.5T)
Chefs' Warehouse, Inc.
Shares:2.7M
Value:$145.9M
% of Portfolio:0.0% ($145.9M/$5.5T)
Apollo Commercial Real Estate Finance, Inc.
Shares:15.2M
Value:$145.8M
% of Portfolio:0.0% ($145.8M/$5.5T)
TOWER SEMICONDUCTOR LTD
Shares:4.1M
Value:$145.1M
% of Portfolio:0.0% ($145.1M/$5.5T)
HOPE BANCORP INC
Shares:13.8M
Value:$144.8M
% of Portfolio:0.0% ($144.8M/$5.5T)
APPIAN CORP
Shares:5.0M
Value:$144.3M
% of Portfolio:0.0% ($144.3M/$5.5T)
Atlas Energy Solutions Inc.
Shares:8.1M
Value:$143.7M
% of Portfolio:0.0% ($143.7M/$5.5T)
WEIS MARKETS INC
Shares:1.9M
Value:$143.6M
% of Portfolio:0.0% ($143.6M/$5.5T)
Cable One, Inc.
Shares:539.5K
Value:$143.4M
% of Portfolio:0.0% ($143.4M/$5.5T)
Reynolds Consumer Products Inc.
Shares:6.0M
Value:$143.2M
% of Portfolio:0.0% ($143.2M/$5.5T)
Kymera Therapeutics, Inc.
Shares:5.2M
Value:$143.2M
% of Portfolio:0.0% ($143.2M/$5.5T)
CG Oncology, Inc.
Shares:5.8M
Value:$142.9M
% of Portfolio:0.0% ($142.9M/$5.5T)
APOGEE ENTERPRISES, INC.
Shares:3.1M
Value:$141.9M
% of Portfolio:0.0% ($141.9M/$5.5T)
Piedmont Office Realty Trust, Inc.
Shares:19.2M
Value:$141.9M
% of Portfolio:0.0% ($141.9M/$5.5T)
STEPAN CO
Shares:2.6M
Value:$141.5M
% of Portfolio:0.0% ($141.5M/$5.5T)
PennyMac Mortgage Investment Trust
Shares:9.6M
Value:$141.0M
% of Portfolio:0.0% ($141.0M/$5.5T)
UMH PROPERTIES, INC.
Shares:7.5M
Value:$140.7M
% of Portfolio:0.0% ($140.7M/$5.5T)
Archer Aviation Inc.
Shares:19.7M
Value:$140.3M
% of Portfolio:0.0% ($140.3M/$5.5T)