VANGUARD PORTFOLIO MANAGEMENT LLC
Reported US equity positions from the most recent SEC Form 13F-HR, Q2 2026. Values are as of the quarter-end date, not today.
$2.22T
Reported AUM
3,141
Positions
Q2 2026
Quarter
COM · 67066G104
$103.61B
517,816,949 sh
COM · 037833100
$96.68B
334,119,156 sh
COM · 594918104
$62.82B
168,407,641 sh
COM · 11135F101
$47.97B
127,001,513 sh
CAP STK CL A · 02079K305
$35.34B
98,896,291 sh
COM · 023135106
$28.99B
121,626,899 sh
COM · 595112103
$28.47B
24,662,080 sh
CAP STK CL C · 02079K107
$27.80B
78,666,550 sh
COM · 532457108
$25.02B
20,859,217 sh
COM · 007903107
$22.03B
37,929,920 sh
What a 13F position does and does not tell you
Each row is a position as reported on the quarter-end date. Because a 13F is due 45 days after the quarter closes, the portfolio shown here may already have changed by the time it became public — a manager can build or exit an entire position inside the reporting gap and it will never appear.
The filing also covers only US-listed equities and certain options and convertibles. Bonds, cash, foreign-listed shares and short positions are all absent, so this is not a complete picture of what the manager owns, and the totals should not be read as the firm's full book.
To pull these positions programmatically, use /v1/holdings?manager_cik= — see the API reference and the 13F-HR guide.