Security Name: ALPHABET INC-CL A
Ticker: GOOGL
Security Type: EQU
Exchange: US
CUSIP: 02079K305

Historical Stats

Period Total Value Value Change Total Holders Holder Change
2024-06-30 $893.55B - 4,357 -
2024-09-30 $732.78B -18.0% 4,333 -0.6%
2024-12-31 $844.96B +15.3% 3,527 -18.6%

Current Major Holders for Period: 2024-12-31

Institution Value Shares % of Portfolio
FOSSE CAPITAL PARTNERS LLP $105.5M 557K 39.1%
ALFRETON CAPITAL LLP $75.7M 400K 27.2%
INVESTMENTAKTIENGESELLSCHAFT FUER LANGFRISTIGE INVESTOREN TGV $366.9M 1,918K 26.9%
KINNEY ASSET MANAGEMENT, LLC $24.9M 131K 24.9%
NEW THINKING INVESTMENT MANAGEMENT CO. LTD $2.2M 11K 24.1%
7G CAPITAL MANAGEMENT, LLC $25.6M 135K 22.5%
VOYAGER GLOBAL MANAGEMENT LP $506.4M 2,675K 20.2%
BOARD OF TRUSTEES OF THE LELAND STANFORD JUNIOR UNIVERSITY $232.8M 1,229K 19.9%
IMMERSION CAPITAL LLP $22.6M 119K 18.9%
PALO ALTO WEALTH ADVISORS, LLC $51.1M 269K 17.9%
HIMALAYA CAPITAL MANAGEMENT LLC $481.4M 2,543K 17.8%
GCQ FUNDS MANAGEMENT PTY LTD $49.7M 262K 17.5%
AMIRAL GESTION $26.7M 140K 16.9%
POINT72 ITALY, S.R.L. $29.9M 157K 16.5%
CRITERIA CAIXA, S.A.U. $112.0M 591K 16.0%
BARRIER CAPITAL MANAGEMENT, LLC $19.7M 104K 15.9%
GRAFTON STREET PARTNERS FUND, LP $21.7M 114K 15.8%
VIRTU FINANCIAL LLC $297.5M 1,571K 15.8%
ROVIDA ADVISORS INC. $20.1M 106K 15.7%
LONG CORRIDOR ASSET MANAGEMENT LTD $20.8M 110K 15.6%
ARCHPOINT INVESTORS $47.0M 248K 15.4%
TROY ASSET MANAGEMENT LTD $439.9M 2,323K 14.8%
GRACE & MERCY FOUNDATION, INC. $65.4M 345K 14.7%
WINDACRE PARTNERSHIP LLC $971.9M 5,134K 14.3%
ALTAROCK PARTNERS LP $658.9M 3,480K 13.3%

Similar Securities

Ticker Exchange Security Similarity Score Common Holders Total Holders
SBGSY US SCHNEIDER ELECT SE-UNSP ADR 0.409 9 22
MSFT US MICROSOFT CORP 0.360 1505 4177
AMZN US AMAZON.COM INC 0.356 1415 3975
AAPL US APPLE INC 0.349 1381 3956
NVDA US NVIDIA CORP 0.329 1201 3653
META US META PLATFORMS INC-CLASS A 0.318 1060 3331
V US VISA INC-CLASS A SHARES 0.314 949 3025
JPM US JPMORGAN CHASE & CO 0.306 987 3229
VDIGX US VANGUARD DIVIDEND GROWTH-INV 0.300 3 10
AVGO US BROADCOM INC 0.295 813 2753
L6ND S1 LINDE PLC/OLD 0.263 5 19
MA US MASTERCARD INC - A 0.259 638 2463
UNH US UNITEDHEALTH GROUP INC 0.257 669 2608
COST US COSTCO WHOLESALE CORP 0.250 683 2728
BRK/B US BERKSHIRE HATHAWAY INC-CL B 0.248 781 3146
GOOG US ALPHABET INC-CL C 0.246 778 3169
HD US HOME DEPOT INC 0.233 664 2851
LLY US ELI LILLY & CO 0.228 638 2794
CRM US SALESFORCE INC 0.212 477 2251
PG US PROCTER & GAMBLE CO/THE 0.210 590 2815
TSLA US TESLA INC 0.209 568 2713
WMT US WALMART INC 0.207 571 2762
JNJ US JOHNSON & JOHNSON 0.202 587 2911
BBBS US BBLX BBB 1-5Y CORP BOND ETF 0.200 3 15
NFLX US NETFLIX INC 0.188 425 2255
SmartTypes

Empowering investors with intelligent data analytics and market insights.

Quick Links
Connect With Us