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XYZ — BLOCK INC

Reported value held$14.99B
Funds holding (latest)70
SectorTechnology

Index member: S&P 500

Funds holding (Q2 2026)48
Institutional value$9.25B · 192.13M sh
New / Add / Cut / Exit3 / 17 / 23 / 3
Top-5 / Top-10 concentration50.2% / 69.4%
Institutional holdings change Reducing -13.4% (-29.83M sh)
Institutional value change Up +41.8%

As of Q2 2026, 48 SEC-registered investment managers reported holding XYZ (BLOCK INC) in their latest 13F filings, with a combined reported value of $9.25B across 192.13M shares. That is -13.4% by share count (-29.83M shares) versus the previous quarter, while reported value moved +41.8%. Ownership is concentrated: the five largest holders account for 50.2% of reported value and the top ten for 69.4%.

Compared with the prior quarter, 3 opened new positions, 17 added to existing stakes, 23 trimmed, 3 exited entirely. 13F holdings are quarter-end snapshots, so these moves reflect positioning as of Q2 2026, not real-time trading.

XYZ is a constituent of the S&P 500 and is classified in the Technology sector.

All figures on this page are computed from SEC Form 13F quarterly filings. 13F filers disclose long positions of $100,000 or more within 45 days of quarter end; short positions, options overlays and intra-quarter trades are not included, so treat the numbers as a quarterly snapshot of institutional ownership rather than real-time positioning.

FundQuarterSharesValuePortfolio WeightChange
Vanguard Group history Q4 2025 67.11M $4.37B 0.06% Reduce
Capital World Investors history Q2 2026 21.40M $1.63B 0.20% Add
Geode Capital Management history Q2 2026 14.24M $1.11B 0.06% Reduce
Citadel Advisors history Q2 2026 11.74M $892.30M 0.11% Add
Norges Bank Investment Management history Q2 2026 7.80M $592.60M 0.06% Add
Point72 Asset Management history Q2 2026 5.50M $418.30M 0.48% Reduce
Invesco Ltd history Q2 2026 5.00M $379.76M 0.03% Reduce
Viking Global Investors history Q2 2025 5.42M $368.21M 1.06% New
Wellington Management Group history Q2 2026 4.67M $354.63M 0.07% Add
Charles Schwab Investment Management history Q2 2026 4.61M $350.18M 0.05% Add
Tiger Global Management history Q2 2026 4.58M $347.78M 1.45% Add
Northern Trust Corp history Q2 2026 4.55M $345.98M 0.04% Reduce
Lone Pine Capital history Q4 2024 3.77M $320.05M 2.38% Reduce
Legal & General Investment Management America history Q2 2026 3.52M $267.69M 0.06% Add
ARK Invest history Q2 2026 3.10M $235.45M 1.53% Hold
Arrowstreet Capital history Q2 2026 3.02M $229.86M 0.10% Reduce
Baillie Gifford & Co history Q2 2026 2.89M $219.36M 0.20% Add
UBS Group AG history Q2 2026 2.86M $217.40M 0.03% Reduce
BNY Mellon history Q2 2026 2.67M $203.24M 0.03% Reduce
Third Point history Q2 2026 2.56M $194.48M 4.61% New

View all 70 fund holders →

New Positions (Q2 2026)

Fully Exited (vs previous quarter)

Fund Position History — shares by quarter (top 20 funds)

FundQ3 2021Q4 2021Q1 2022Q2 2022Q3 2022Q4 2022Q1 2023Q2 2023Q3 2023Q4 2023Q1 2024Q2 2024Q3 2024Q4 2024Q1 2025Q2 2025Q3 2025Q4 2025Q1 2026Q2 2026
Capital World Investors 4.74M 4.79M 7.91M 5.45M 9.38M 9.38M 11.31M 11.37M 12.30M 12.51M 13.10M 3.92M 3.92M 3.65M 3.65M 3.86M 11.30M 16.02M 20.60M 21.40M
Geode Capital Management 3.71M 3.78M 4.77M 5.05M 5.28M 5.50M 5.69M 7.41M 7.61M 7.98M 8.32M 8.56M 8.69M 8.88M 9.34M 9.37M 14.34M 14.41M 14.71M 14.24M
Citadel Advisors 8.35M 12.80M 15.00M 11.75M 12.75M 27.50M 25.20M 1.50M 1.50M 4.00M 7.00M 20.50M 5.66M 11.99M 6.81M 10.79M 10.26M 4.81M 11.29M 11.74M
Norges Bank Investment Management — — — — — 5.63M — — — 6.84M — 7.76M — 7.15M — 6.12M — 7.44M — 7.80M
Point72 Asset Management — — 50.00K — 100.00K 5.00M 54.80K 1.36M 13.40K 13.40K — 1.03M 1.52M 1.11M 1.88M 6.05M 4.99M 3.67M 6.99M 5.50M
Invesco Ltd 2.47M 11.65M 11.65M 275.00K 275.00K 275.00K 275.00K 275.00K 275.00K 275.00K 275.00K 275.00K 9.00M 4.50M 904.73K 1.11M 3.78M 5.30M 5.52M 5.00M
Wellington Management Group 2.68M 240.00K 240.00K 195.00K 3.00M 7.86M 7.75M 10.48M 6.96M 6.85M 6.85M 2.42M 1.66M 1.35M 5.38M 5.17M 5.57M 5.57M 920.00K 4.67M
Charles Schwab Investment Management 1.18M 1.20M 1.54M 1.58M 1.71M 1.82M 1.87M 2.01M 2.05M 2.17M 2.05M 2.16M 2.20M 2.36M 2.53M 2.63M 4.04M 4.18M 4.41M 4.61M
Tiger Global Management 914.50K 1.38M 2.74M 950.03K 3.80M 1.88M 1.65M — — — — — — — 1.88M 3.94M 4.42M 6.36M 4.00M 4.58M
Northern Trust Corp 2.64M 2.59M 2.95M 2.94M 3.03M 3.15M 3.07M 3.01M 3.07M 3.00M 2.92M 3.03M 2.86M 3.39M 50.00K 50.00K 4.63M 50.00K 4.72M 4.55M
Legal & General Investment Management America 2.21M 2.16M 2.63M 2.87M 2.81M 2.63M 2.72M 2.80M 2.79M 3.50M 3.38M 3.75M 3.53M 2.65M 2.69M 2.79M 3.14M 3.11M 3.45M 3.52M
ARK Invest 6.12M 6.18M 8.31M 9.14M 9.19M 9.00M 10.47M 10.73M 10.89M 11.89M 10.05M 8.29M 6.63M 4.93M 4.08M 3.09M 2.67M 3.37M 3.09M 3.10M
Arrowstreet Capital 11.40K — 3.49K 124.71K 688.05K — — — — — 30.39K 241.02K 229.44K 59.05K 74.72K 405.25K — 526.77K 3.31M 3.02M
Baillie Gifford & Co — — — — 153.75K 152.33K 177.94K 177.31K 163.69K 5.94M 6.92M 10.09M 10.23M 11.17M 12.55M 12.01M 11.66M 9.88M 2.67M 2.89M
UBS Group AG 3.62M 5.00K 8.00K 16.00K 11.00K 11.00K 11.00K 11.00K 1.65M 1.65M 3.39M 3.13M 3.53M 2.57M 6.16M 3.21M 5.36M 4.70M 4.63M 2.86M
BNY Mellon 3.11M 550.00K 450.00K 500.00K 200.00K 500.00K 500.00K 200.00K 200.00K 200.00K 550.00K 200.00K 200.00K 200.00K 200.00K 200.00K 200.00K 3.04M 2.79M 2.67M
Third Point — — — — — — — — — — — — — — — — — — — 2.56M
Fidelity Management & Research (FMR) 13.15M 5.40M 5.40M 5.40M 5.40M 309.00K 309.00K 309.00K 20.75M 22.15M 12.50M 11.90M 4.96M 22.62M 16.70M 8.50M 5.37M 5.88M 3.19M 2.45M
Millennium Management 2.09M 7.00K 20.50K 20.00K 5.00K 2.26M 16.00K 16.00M 374.27K 12.50M 11.00M 3.47M 10.00M 33.50M 1.50M 20.50M 21.50M 40.00M 20.00M 1.74M
Amundi US 353.19K 343.00K 4.24M 4.29M 2.00M 2.00M 3.70M 3.70M 3.70M 3.70M 3.70M 3.38M 3.07M 2.60M 2.60M 2.60M 1.07M 1.57M 2.60M 1.63M

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