Stock page · NASDAQ:GOOGL · Form 13F

Alphabet Inc. Class A (GOOGL): Q2 2026 13F — more filers, a huge jump in Class A aggregate reported value, and mega Vanguard / BlackRock / Norges moves

You are looking at Alphabet Inc. Class A — technology name listed on NASDAQ as GOOGL. Below is a read of the latest Form 13F tape (period of report 2026-06-30, Q2 2026) versus the prior quarter (2026-03-31, Q1 2026), plus a short company overview.

Page updated 2026-09-26 CUSIP 02079K305 Market cap ~$3.32T quantyfight.com/stocks/GOOGL

Share this stock page. Copy the QuantyFight link for Alphabet Inc. Class A (GOOGL) to your clipboard.

Open live page
Stock detail

Alphabet Inc. Class A / ALPHABET INC CLASS A

ExchangeNASDAQ
CUSIP02079K305
SectorTechnology
IndustryComputer Software: Programming Data Processing
Market cap~$3.32T
HQMountain View, California, USA
13F period2026-06-30
NASDAQ Search YouTube Cloud AI Class A

What changed in Q2 2026?

Last quarter = Q2 2026 (period of report 2026-06-30) versus prior Q1 2026 (2026-03-31). Figures are reported 13F values (USD) as filed — delayed snapshots, not live prices.

13F holders
5,775
vs 5,550 in Q1 2026
Sum reported value
$1585.57B
vs $1079.33B in Q1 2026
Sum shares
4,661,945,744
vs 3,967,099,664 in Q1 2026
Hedge-style holders*
232
vs 226 in Q1 2026

Here is the story in one breath: more 13F filers (5,775 vs 5,550), and the aggregate reported 13F value rose (about $1585.57B from about $1079.33B). Total disclosed shares also moved to about 4,661,945,744 from about 3,967,099,664. Hedge-style* holders numbered 232 in Q2 2026 versus 226 in Q1 2026. On the full 13F tape, 415 managers entered and 190 exited (hedge-style* enter/exit: 30 / 24).

Status mix across the QoQ tape (5,965 manager rows including exits): 415 ENTERED, 190 EXITED, 2,293 INCREASED, 2,567 DECREASED, 500 UNCHANGED.

Reporting-entity note: several Vanguard-affiliated names appear as ENTERED under new CIKs in Q2 2026 (for example VANGUARD CAPITAL MANAGEMENT LLC ($136.86B), VANGUARD PORTFOLIO MANAGEMENT LLC ($35.34B), VANGUARD FIDUCIARY TRUST CO ($12.04B), Vanguard Global Advisers, LLC ($4.53B)). That is a 13F filer / CIK event in this tape — not automatically the same thing as “Vanguard never owned GOOGL before.” Read it as new reporting entities showing up for this CUSIP in the QoQ join.

How to read reported 13F value. The dollar amounts below are each position’s reported 13F value (USD) from the manager’s filing. Values can move with the stock’s quarter-end price even when share counts fall. They are delayed snapshots (managers generally file within 45 days after quarter-end), not a live ownership feed. For context only: Q2 2026 aggregate reported value is roughly 47.8% of the ~$3.32T market-cap figure used on this page — that is not the same as “% of float owned,” and summing 13F positions is not a precise ownership stake.

Who holds GOOGL now?

Largest Q2 2026 13F holders by reported position value (top 18 of 5,775). Block size ≈ reported value. Click a name for the fund page.

Q2 2026 Alphabet Inc. Class A (GOOGL) Form 13F holders — top 25 by reported value (USD). Full QoQ tape: 5,965 manager rows.
#ManagerShares (Q2)Reported value% of mgr AUMHedge-style*StatusAccession
1BlackRock, Inc.460,972,803$164.74B244.7981%NoINCREASED0002012383-26-003238
2VANGUARD CAPITAL MANAGEMENT LLC382,951,664$136.86B292.4180%NoENTERED0002100119-26-001527
3FMR LLC250,714,005$89.60B388.8993%NoINCREASED0000315066-26-002260
4STATE STREET CORP238,977,259$85.40B253.3291%NoINCREASED0000093751-26-000507
5GEODE CAPITAL MANAGEMENT, LLC150,078,198$53.47B285.1503%NoDECREASED0001214717-26-000008
6MORGAN STANLEY120,511,301$43.07B227.7713%NoDECREASED0000895421-26-000243
7VANGUARD PORTFOLIO MANAGEMENT LLC98,896,291$35.34B159.2618%NoENTERED0002100121-26-001018
8Invesco Ltd.91,277,658$32.62B258.0166%NoINCREASED0000914208-26-000343
9JPMORGAN CHASE & CO91,919,476$32.51B179.8925%NoINCREASED0000019617-26-000325
10NORGES BANK80,931,418$28.92B288.2920%NoENTERED0001374170-26-000069
11Berkshire Hathaway Inc78,791,167$28.16B940.9278%Yes*INCREASED0001193125-26-352200
12Capital World Investors73,349,871$26.21B309.6815%NoINCREASED0001422849-26-000113
13BANK OF AMERICA CORP /DE/72,422,160$25.88B166.7543%NoINCREASED0000070858-26-000442
14NORTHERN TRUST CORP65,524,743$23.42B272.3528%NoINCREASED0000073124-26-000053
15Capital Research Global Investors62,527,250$22.35B311.7052%NoINCREASED0001422848-26-000094
16GOLDMAN SACHS GROUP INC58,584,981$20.94B181.7987%NoINCREASED0000886982-26-000519
17UBS AM, a distinct business unit of UBS ASSET MANAGEMENT AMERICAS LLC44,688,569$15.97B290.3222%NoDECREASED0000861177-26-000004
18WELLINGTON MANAGEMENT GROUP LLP44,403,614$15.87B273.5137%NoDECREASED0000902219-26-000311
19CHARLES SCHWAB INVESTMENT MANAGEMENT INC40,980,558$14.65B194.9253%NoINCREASED0001752724-26-000057
20Fisher Asset Management, LLC39,989,840$14.29B425.5508%NoINCREASED0000850529-26-000006
21Bank of New York Mellon Corp39,216,785$14.01B229.9657%NoDECREASED0001390777-26-000087
22Legal & General Group Plc37,212,257$13.30B277.3156%NoDECREASED0001495115-26-000017
23ROYAL BANK OF CANADA36,615,412$13.09B194.8634%NoINCREASED0001140361-26-033080
24VANGUARD FIDUCIARY TRUST CO33,694,019$12.04B265.0153%NoENTERED0000933478-26-000015
25AMERIPRISE FINANCIAL INC32,174,962$11.50B232.4187%NoDECREASED0001193125-26-351426

Fund activity — Q1 2026 → Q2 2026

Top increases and decreases by change in % of the manager’s reported AUM, shown as treemap-style cards. Dollar heatmaps follow.

Top funds increasing % AUM

Largest positive Δ %AUM (entries + any adds).

Top funds decreasing % AUM

Largest negative Δ %AUM (cuts + exits).

Top $ increases (reported value)

Top $ decreases (reported value)

Funds entering & exiting

New fund appearances (ENTERED) and disappearances (EXITED) on the QoQ 13F tape — all filers vs hedge-style* only. Counts are status rows from the QoQ join across the full Form 13F filer set for this CUSIP/ticker — not live flow.

All funds entered
415
Status ENTERED
All funds exited
190
Status EXITED
Hedge-style* entered
30
ENTERED · hedge-style*
Hedge-style* exited
24
EXITED · hedge-style*

Key Q2 2026 movers (by |Δ reported value|)

The largest absolute dollar increase is VANGUARD CAPITAL MANAGEMENT LLC (status ENTERED, Δ about $136.86B) — accession 0002100119-26-001527. On the downside, the largest absolute dollar decrease is Amundi (EXITED, Δ about -$9.13B).

Classic 13F reminder: GEODE CAPITAL MANAGEMENT, LLC cut shares (151,888,094 → 150,078,198) but still shows a higher reported value ($43.55B → $53.47B) — share cuts and dollar increases can sit in the same row when the filing-period price jumps.

Largest Q2 2026 ENTERED names by reported value include: VANGUARD CAPITAL MANAGEMENT LLC ($136.86B), VANGUARD PORTFOLIO MANAGEMENT L… ($35.34B), NORGES BANK ($28.92B), VANGUARD FIDUCIARY TRUST CO ($12.04B), Vanguard Global Advisers, LLC ($4.53B).

Largest EXITED names by prior reported value include: Amundi (prior $9.13B), HighTower Advisors, LLC (prior $1.08B), JANUS HENDERSON GROUP PLC (prior $885.39M), VIKING GLOBAL INVESTORS LP (prior $688.95M), CWM, LLC (prior $276.87M).

Top QoQ activity rows (by |Δ value|)

Showing 50 of 5,965 QoQ manager rows — sorted by absolute change in reported value.

Top |Δ reported value| rows for GOOGL — Q1 2026 vs Q2 2026
ManagerStatusShares Q1Shares Q2Value Q1Value Q2Δ ValueSEC
VANGUARD CAPITAL MANAGEMENT LLCENTERED—382,951,664—$136.86B$136.86BSEC
BlackRock, Inc.INCREASED446,980,992460,972,803$128.53B$164.74B$36.20BSEC
VANGUARD PORTFOLIO MANAGEMENT LLCENTERED—98,896,291—$35.34B$35.34BSEC
NORGES BANKENTERED—80,931,418—$28.92B$28.92BSEC
FMR LLCINCREASED236,544,675250,714,005$68.02B$89.60B$21.58BSEC
STATE STREET CORPINCREASED226,259,132238,977,259$65.06B$85.40B$20.34BSEC
Invesco Ltd.INCREASED45,843,66091,277,658$13.18B$32.62B$19.44BSEC
JPMORGAN CHASE & COINCREASED70,925,55191,919,476$19.40B$32.51B$13.11BSEC
Berkshire Hathaway IncINCREASED54,249,79878,791,167$15.60B$28.16B$12.56BSEC
VANGUARD FIDUCIARY TRUST COENTERED—33,694,019—$12.04B$12.04BSEC
GEODE CAPITAL MANAGEMENT, LLCDECREASED151,888,094150,078,198$43.55B$53.47B$9.93BSEC
AmundiEXITED31,745,979—$9.13B—-$9.13BSEC
MORGAN STANLEYDECREASED120,955,598120,511,301$34.78B$43.07B$8.29BSEC
Capital World InvestorsINCREASED65,347,10873,349,871$18.79B$26.21B$7.42BSEC
BANK OF AMERICA CORP /DE/INCREASED68,768,71572,422,160$19.78B$25.88B$6.11BSEC
Capital Research Global InvestorsINCREASED57,546,74762,527,250$16.55B$22.35B$5.80BSEC
NORTHERN TRUST CORPINCREASED64,991,45865,524,743$18.69B$23.42B$4.73BSEC
Vanguard Global Advisers, LLCENTERED—12,662,116—$4.53B$4.53BSEC
GOLDMAN SACHS GROUP INCINCREASED57,846,83658,584,981$16.63B$20.94B$4.30BSEC
VANGUARD ASSET MANAGEMENT, LtdENTERED—11,329,982—$4.05B$4.05BSEC
MASSACHUSETTS FINANCIAL SERVICES CO /MA/INCREASED23,413,23228,694,648$6.95B$10.52B$3.57BSEC
Fisher Asset Management, LLCINCREASED39,050,56239,989,840$11.23B$14.29B$3.06BSEC
UBS AM, a distinct business unit of UBS ASSET MANAGEMENT AMERICAS LLCDECREASED45,196,29044,688,569$13.00B$15.97B$2.97BSEC
ROYAL BANK OF CANADAINCREASED35,271,16436,615,412$10.14B$13.09B$2.94BSEC
CHARLES SCHWAB INVESTMENT MANAGEMENT INCINCREASED40,918,97140,980,558$11.77B$14.65B$2.88BSEC
Nuveen, LLCINCREASED30,580,26831,851,371$8.79B$11.38B$2.59BSEC
Bank of New York Mellon CorpDECREASED40,113,89439,216,785$11.54B$14.01B$2.48BSEC
DEUTSCHE BANK AG\INCREASED29,372,83430,552,576$8.45B$10.92B$2.47BSEC
FRANKLIN RESOURCES INCDECREASED35,954,72622,072,353$10.34B$7.89B-$2.45BSEC
Legal & General Group PlcDECREASED37,758,89137,212,257$10.86B$13.30B$2.44BSEC
WELLS FARGO & COMPANY/MNINCREASED27,808,60129,187,481$8.00B$10.43B$2.43BSEC
WELLINGTON MANAGEMENT GROUP LLPDECREASED47,620,48544,403,614$13.69B$15.87B$2.17BSEC
UBS Group AGINCREASED24,155,48525,323,537$6.95B$9.05B$2.10BSEC
AMERIPRISE FINANCIAL INCDECREASED33,034,78432,174,962$9.50B$11.50B$2.00BSEC
Mitsubishi UFJ Asset Management Co., Ltd.INCREASED16,092,60017,724,321$4.63B$6.33B$1.71BSEC
SCHRODER INVESTMENT MANAGEMENT GROUPDECREASED22,697,34822,003,226$6.53B$7.86B$1.34BSEC
BANK OF MONTREAL /CAN/DECREASED19,457,56719,231,162$5.60B$6.87B$1.28BSEC
CITIGROUP INCINCREASED10,247,41411,709,850$2.95B$4.18B$1.24BSEC
BNP PARIBAS FINANCIAL MARKETSINCREASED8,071,9079,896,252$2.32B$3.54B$1.22BSEC
Temasek Holdings (Private) LtdINCREASED4,702,7367,076,378$1.35B$2.53B$1.17BSEC
LOOMIS SAYLES & CO L PDECREASED17,339,59417,217,854$4.99B$6.15B$1.17BSEC
DZ BANK AG Deutsche Zentral Genossenschafts Bank, Frankfurt am MainINCREASED12,138,43612,977,853$3.49B$4.64B$1.15BSEC
CANADA PENSION PLAN INVESTMENT BOARDINCREASED12,208,78712,972,980$3.51B$4.64B$1.13BSEC
DIMENSIONAL FUND ADVISORS LPDECREASED18,281,27617,814,596$5.26B$6.37B$1.11BSEC
Clearbridge Investments, LLCINCREASED10,489,46011,527,990$3.02B$4.12B$1.10BSEC
HighTower Advisors, LLCEXITED3,759,185—$1.08B—-$1.08BSEC
Vanguard Investments Australia, Ltd.ENTERED—2,971,186—$1.06B$1.06BSEC
Jupiter Topco LLCENTERED—2,963,318—$1.06B$1.06BSEC
Sumitomo Mitsui Trust Group, Inc.INCREASED13,222,12213,583,734$3.80B$4.85B$1.05BSEC
JENNISON ASSOCIATES LLCDECREASED19,856,01018,809,377$5.71B$6.72B$1.01BSEC

Company AI overview — Alphabet Inc. Class A

Alphabet Inc. is the parent of Google and related businesses. Class A common stock trades on NASDAQ as GOOGL (CUSIP 02079K305); Class C trades separately as GOOG. This page’s 13F tape is for the GOOGL / Class A line only — do not mix the two share classes. HQ: 1600 Amphitheatre Parkway, Mountain View, California 94043. Sources: abc.xyz/investor; abc.xyz; SEC CIK 0001652044.

Short history / footprint. Google’s search and ads franchise sits inside Alphabet alongside YouTube, Google Cloud, Android / Play, hardware, and Other Bets. The dual-class equity structure (A / C, plus founder B shares) is a defining capital-markets feature.

Business model & revenue streams. Google Services (Search, YouTube, subscriptions, etc.) and Google Cloud are the primary reported engines; Other Bets remain smaller. Advertising still funds much of the cash-flow story, with cloud and AI products as growth narratives in company materials.

Competition. Other ad platforms, cloud hyperscalers (AWS, Azure), and AI-assistant / search challengers compete for users, advertisers, and enterprise workloads.

Moat (humble take). Search / YouTube scale and data network effects can be durable — regulation, AI disruption, and ad-cycle risk still matter.

Challenges & opportunities. Challenges include antitrust / regulatory cases, AI product competition, and ad cyclicality. Opportunities track cloud growth, AI integration across products, and YouTube / subscription expansion as disclosed.

Recent update (company IR). Prefer abc.xyz/investor earnings releases and Forms 10-K / 10-Q. Remember this ownership page is GOOGL Class A only; GOOG Class C holders report on a different CUSIP.

* Hedge-style footnote. QuantyFight uses a proprietary "hedge-style" label / classification based on portfolio characteristics such as portfolio concentration and number of reported holdings. It is an analytical classification and does not indicate the fund's official legal or regulatory classification.
13F limitations. Form 13F covers U.S. equity long positions above disclosure thresholds for managers that file. It omits most shorts, derivatives detail, non-13F securities, and intra-quarter trading. Filings arrive weeks after quarter-end. Holder lists on this page reflect 13F coverage for Alphabet Inc. Class A (GOOGL) as compiled for QuantyFight’s stock view — not a claim that every global holder is listed.

Q2 2026 accession sample (largest holders)

SEC index links for accessions tied to the largest Q2 2026 reported positions. Filing dates live on each EDGAR index page.

Sources & provenance

  1. Company site: https://abc.xyz/
  2. Investor relations: https://abc.xyz/investor/
  3. About / overview: https://abc.xyz/
  4. Form 13F holdings for period of report 2026-06-30 and 2026-03-31 — individual SEC accession index links in the tables above (EDGAR pattern https://www.sec.gov/Archives/edgar/data/{cik_from_accession}/{accession_nodash}/{accession}-index.htm).
  5. QuantyFight stock page: https://quantyfight.com/stocks/GOOGL
  6. Market-cap context on this page ≈ $3.32T from holdings metadata (rounded).

Done reading? Copy the canonical link so you can share Alphabet Inc. Class A (GOOGL) with someone else.

View on QuantyFight

Educational use only. Not investment advice. 13F figures are delayed snapshots and can be revised. Verify holdings against EDGAR and company figures against the issuer’s investor relations page.

More stock research

Open the live GOOGL page · Fund research · Quarterly insights