Shared increases60Shared reductions117Latest quarter Q1 2026Managers 16Generated 06/24/2026, 14:27 UTCNext check 08/16/2026
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GOOG / GOOGL
Technology

Alphabet Inc.

Alphabet is Google's parent company, with revenue led by search advertising, YouTube, Android, Google Cloud, and a portfolio of AI and infrastructure bets.

Current managers
10
Company market cap
$4.4T
Source: Nasdaq, retrieved 08/07/2026, 08:44 UTC.
Estimated quarter price range
Latest four quarters with available market data.
4
Q1 2026$272.11 - $349.00
Q4 2025$235.84 - $328.83
Q3 2025$172.77 - $256.00
Q2 2025$140.53 - $181.23
Yahoo Finance, retrieved 08/07/2026, 08:44 UTC

Latest 13F signals for this stock

Counts show how tracked institutions changed this company in their latest available filings.

9
New position
1
Increased
5
Reduced
2
Exited
1

Who holds it and what changed this quarter

Portfolio weight and share-count changes are shown for every tracked manager with a current or prior-quarter position.

Third Point
Daniel Loeb
Q1 2026
New position
New position: 2.42%

Third Point opened a new position at 2.42% of the portfolio, buying 175,000 shares.

Estimated quarter price range
$272.11 - $349.00
Q1 2026 average daily close: $314.21. This is an estimate, not a disclosed trade price.
Yahoo Finance, retrieved 08/07/2026, 08:44 UTC
+175,000 Shares
n/a
SEC05/15/2026
Tiger Global
Tiger Global
Q1 2026
Unchanged
11.20% -> 13.38%

Tiger Global kept the share count unchanged while portfolio weight moved from 11.20% to 13.38%.

Estimated quarter price range
$272.11 - $349.00
Q1 2026 average daily close: $314.21. This is an estimate, not a disclosed trade price.
Yahoo Finance, retrieved 08/07/2026, 08:44 UTC
0 Shares
+0.00%
SEC05/15/2026

SEC source transparency

Signals are derived from SEC EDGAR 13F information tables. Search aliases, tickers, themes, and company mappings help discovery but do not replace the original filing.

SEC source XML
Data source
SEC EDGAR
Source filings
16
Latest reporting quarter
2026Q1

Four-quarter trend

Each line is one tracked manager’s portfolio weight. Labels identify the manager directly.

Historical and source details

Market values, quarterly totals, and original CUSIP rows are available below without obscuring current actions.

Quarterly holdings details
QuarterCurrent managersCombined holding valueTotal sharesManager details
Q2 20258$6,688,420,77937,876,814
Himalaya Capital New position - 4,994,600 Shares
Bridgewater Associates New position - 5,600,424 Shares
Pershing Square New position - 11,687,011 Shares
Tiger Global New position - 10,631,402 Shares
ARK Invest New position - 133,766 Shares
Coatue Management New position - 2,010,681 Shares
Baupost Group New position - 2,633,988 Shares
Greenwoods / Jinglin New position - 184,942 Shares
Q3 20259$14,729,899,23460,567,743
Berkshire Hathaway New position - 17,846,142 Shares
Himalaya Capital Unchanged - 4,994,600 Shares
Bridgewater Associates Reduced - 2,653,896 Shares
Pershing Square Reduced - 11,168,004 Shares
Tiger Global Unchanged - 10,631,402 Shares
ARK Invest Increased - 338,956 Shares
Coatue Management Increased - 9,312,689 Shares
Baupost Group Reduced - 1,858,138 Shares
Greenwoods / Jinglin Increased - 1,763,916 Shares
Q4 202510$17,249,050,67355,077,483
Berkshire Hathaway Unchanged - 17,846,142 Shares
Himalaya Capital Unchanged - 4,994,600 Shares
Bridgewater Associates Reduced - 1,590,826 Shares
Pershing Square Reduced - 6,842,168 Shares
Tiger Global Unchanged - 10,631,402 Shares
ARK Invest Increased - 545,892 Shares
Coatue Management Reduced - 8,841,972 Shares
Baupost Group Reduced - 1,087,181 Shares
Hillhouse / HHLR Advisors New position - 7,300 Shares
Greenwoods / Jinglin Increased - 2,690,000 Shares
Q1 202610$24,900,838,84686,617,283
Berkshire Hathaway Increased - 57,835,013 Shares
Himalaya Capital Unchanged - 4,994,600 Shares
Bridgewater Associates Increased - 2,384,676 Shares
Pershing Square Reduced - 344,102 Shares
Tiger Global Unchanged - 10,631,402 Shares
ARK Invest Increased - 720,414 Shares
Coatue Management Reduced - 5,429,311 Shares
Third Point New position - 175,000 Shares
Baupost Group Increased - 1,181,131 Shares
Hillhouse / HHLR Advisors Exited - 0 Shares
Greenwoods / Jinglin Increased - 2,921,634 Shares
Original CUSIP details
ManagerIssuerCUSIPSecurity classHolding market valueSharesWeightSource
Berkshire HathawayALPHABET INC02079K305CAP STK CL A$15,600,071,91354,249,7985.93%SEC XML
Tiger GlobalALPHABET INC02079K305CAP STK CL A$3,057,165,95910,631,40213.38%SEC XML
Coatue ManagementALPHABET INC02079K305CAP STK CL A$1,240,368,7824,313,4264.27%SEC XML
Berkshire HathawayALPHABET INC02079K107CAP STK CL C$1,028,454,7753,585,2150.39%SEC XML
Greenwoods / JinglinALPHABET INC02079K305CAP STK CL A$840,145,0732,921,63421.66%SEC XML
Himalaya CapitalALPHABET INC02079K305CAP STK CL A$731,351,3482,543,30022.85%SEC XML
Himalaya CapitalALPHABET INC02079K107CAP STK CL C$703,179,9182,451,30021.97%SEC XML
Bridgewater AssociatesALPHABET INC02079K305CAP STK CL A$574,451,1351,997,6742.56%SEC XML
Baupost GroupALPHABET INC02079K107CAP STK CL C$338,819,0001,181,1316.62%SEC XML
Coatue ManagementALPHABET INC02079K107CAP STK CL C$320,102,7711,115,8851.10%SEC XML
ARK InvestAlphabet Inc02079K107Common Stock$206,658,015720,4141.61%SEC XML
Bridgewater AssociatesALPHABET INC02079K107CAP STK CL C$111,015,394387,0020.50%SEC XML
Pershing SquareALPHABET INC02079K107CAP STK CL C$89,421,720311,7260.65%SEC XML
Third PointALPHABET INC02079K305CAP STK CL A$50,323,000175,0002.42%SEC XML
Pershing SquareALPHABET INC02079K305CAP STK CL A$9,310,04332,3760.07%SEC XML