Fund Manager Reports
Learn about the top fund managers in the U.S. stock market through reports generated from Form 13F.
Form 13F is a quarterly report that institutional investment managers in the U.S. are required to file with the Securities and Exchange Commission (SEC) if they manage over $100 million in assets. These filings provide insights into institutional managers' investment holdings, revealing the composition of their portfolios, market positions, and strategic trends.
$69.1T
Total reported value
8,726
Fund managers
13,294
Securities held
Q1 2026
Latest report
All fund managers
QUBE RESEARCH & TECHNOLOGIES LTD
$89.9B
Top holdings
1
ALPHABET INC
$2.43B
2
APPLE INC
$1.96B
3
MICROSOFT CORP
$1.71B
QUANTINNO CAPITAL MANAGEMENT LP
$59.9B
Top holdings
1
NVIDIA CORPORATION
$3.43B
2
APPLE INC
$2.99B
3
ALPHABET INC
$2B
QRG CAPITAL MANAGEMENT, INC.
$9.69B
Top holdings
1
NVIDIA CORPORATION
$667M
2
APPLE INC
$611M
3
ALPHABET INC
$519M
QUADRATURE CAPITAL LTD
$8.4B
Top holdings
1
ASML HLDG NV
$275M
2
UNITEDHEALTH GROUP INC
$254M
3
SPDR GOLD TR
$231M
QUILTER PLC
$5.7B
Top holdings
1
MICROSOFT CORP
$426M
2
NVIDIA CORPORATION
$406M
3
AMAZON COM INC
$362M
QUOTIENT WEALTH PARTNERS, LLC
$3.8B
Top holdings
1
ISHARES TR
$1.67B
2
SPDR SERIES TRUST
$579M
3
FIDELITY MERRIMACK STR TR
$297M
QUADRANT CAPITAL GROUP LLC
$3.34B
Top holdings
1
ISHARES TR
$393M
2
APPLE INC
$128M
3
NVIDIA CORPORATION
$120M
QVR LLC
$2.49B
Top holdings
1
TESLA INC
$597M
2
ALPHABET INC
$467M
3
META PLATFORMS INC
$368M
QUANTBOT TECHNOLOGIES LP
$2.44B
Top holdings
1
MICROSOFT CORP
$23.6M
2
ALPHABET INC
$21.7M
3
NORFOLK SOUTHN CORP
$17.4M
QUINN OPPORTUNITY PARTNERS LLC
$1.92B
Top holdings
1
ELECTRONIC ARTS INC
$109M
2
NETFLIX INC.
$80.2M
3
COMCAST CORP NEW
$79.4M
QUINTET PRIVATE BANK EUROPE S.A.
$1.49B
Top holdings
1
NVIDIA CORPORATION
$222M
2
ALPHABET INC
$189M
3
MICROSOFT CORP
$164M
QUENT CAPITAL, LLC
$1.41B
Top holdings
1
ISHARES TR
$299M
2
SPDR SERIES TRUST
$200M
3
VANGUARD SCOTTSDALE FDS
$121M
QVT FINANCIAL LP
$1.37B
Top holdings
1
ROIVANT SCIENCES LTD
$697M
2
OKEANIS ECO TANKERS COR
$64.8M
3
CARVANA CO
$54.6M
QSEMBLE CAPITAL MANAGEMENT, LP
$1.31B
Top holdings
1
COSTCO WHOLESALE CORPORATION
$14.8M
2
BOSTON SCIENTIFIC CORP
$14.2M
3
META PLATFORMS INC
$13.3M
QV INVESTORS INC.
$1.24B
Top holdings
1
SUNOCOCORP LLC
$72.2M
2
ROYAL BK CDA
$66.4M
3
CANADIAN NATL RY CO
$63.2M
QUANTUM FINANCIAL ADVISORS, LLC
$891M
Top holdings
1
DIMENSIONAL ETF TRUST
$381M
2
AMERICAN CENTY ETF TR
$227M
3
ISHARES TR
$107M
QUADCAP WEALTH MANAGEMENT, LLC
$879M
Top holdings
1
DIMENSIONAL ETF TRUST
$109M
2
J P MORGAN EXCHANGE TRADED F
$89.1M
3
ISHARES TR
$40M
QUEST INVESTMENT MANAGEMENT LLC
$857M
Top holdings
1
VANGUARD INDEX FDS
$180M
2
ISHARES TR
$62.3M
3
NVIDIA CORPORATION
$55.4M
QUANTUM CAPITAL MANAGEMENT, LLC NJ
$781M
Top holdings
1
OLD DOMINION FREIGHT LINE IN
$73.5M
2
NVR INC
$63.6M
3
PRIMERICA INC
$62.8M
QTRON INVESTMENTS LLC
$738M
Top holdings
1
NVIDIA CORPORATION
$45M
2
APPLE INC
$39.9M
3
ALPHABET INC
$33M
