Security Snapshot

Alphabet Inc. - Class A Common Stock, Class B Common Stock (GOOGL) Institutional Ownership

CUSIP: 02079K305

13F Institutional Holders and Ownership History from Q1 2014 to Q1 2026

Latest Period

Q1 2026

Institutions Reporting

5,569

Shares (Excl. Options)

4,492,321,862

Price

$287.56

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Latest holder snapshot 5 signals
Portfolio coverage rank
1.1%
Share change
-51,772,650
Value change
-$17,900,739,099
Number of holders
5,569
Issuer context Names, identifiers, and filing context for this profile. 3 identity fields
Shares outstanding
6,186,143,666
SEC-reported price per share
$402.62
Insider filing price
$402.62
13F Shares, Excluding Options vs Price
13F Value, Excluding Options
Total Investors

Key facts

  • GOOGL - Alphabet Inc. - Class A Common Stock, Class B Common Stock is tracked under CUSIP 02079K305.
  • 5569 institutions reported positions in Q1 2026.
  • 2 significant owners is listed from Schedule 13D/13G reporting.

Change

  • Holder count moved from 5,662 to 5,569 between Q4 2025 and Q1 2026.
  • SEC-reported value moved from $1,422,365,329,413 to $1,291,069,487,888.

Research use

  • You can quickly see who holds this security, then open quarter and manager detail pages for full evidence.
  • 13F and Schedule 13D/13G sections are kept together so you can cross-check institutional and beneficial ownership context.

Evidence

Source: SEC Form 13F

Latest holder context comes from 5569 institutions filings for Q1 2026.

Open SEC evidence

Security key

02079K305

Latest holder period

Q1 2026

13F holders

5,569

13D/G owners

2

CIK / CUSIP context first

13D/G owners

Significant owners

Large-stake holder rows connected to Schedule 13D/G evidence.

Rows
2
Security
GOOGL
Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
Sergey Brin 5.8% $121,572,105,823 359,414,947 Sergey Brin 31 Dec 2025
SCHMIDT ERIC E 0.83% -14% $8,794,818,751 -$1,461,949,041 48,808,584 -14% Eric E. Schmidt 30 Jun 2025

As of 31 Mar 2026, 5,569 institutional investors reported holding 4,492,321,862 shares of Alphabet Inc. - Class A Common Stock, Class B Common Stock (GOOGL). This represents 73% of the company’s total 6,186,143,666 outstanding shares.

13F concentration

Top 25 institutional shareholders

Largest 13F positions for this security by reported shares and value.

Top holder share
42%
Institution Ownership % Shares Held Share Change % Portfolio % Holdings Value
BlackRock, Inc. 7.2% 446,980,992 +1.1% 2.3% $128,533,854,139
VANGUARD CAPITAL MANAGEMENT LLC 6.1% 378,261,579 0% 2.7% $108,772,899,657
FMR LLC 3.8% 236,544,675 +2.1% 3.6% $68,020,786,537
STATE STREET CORP 3.7% 226,259,132 -0.89% 2.2% $65,063,075,998
GEODE CAPITAL MANAGEMENT, LLC 2.5% 151,888,094 +3.9% 2.7% $43,547,587,937
MORGAN STANLEY 2% 120,955,598 -0.69% 2.1% $34,781,992,722
VANGUARD PORTFOLIO MANAGEMENT LLC 1.6% 96,536,714 0% 1.5% $27,760,097,478
PRICE T ROWE ASSOCIATES INC /MD/ 1.3% 80,506,798 -4.1% 2.7% $23,150,536,000
JPMORGAN CHASE & CO 1.1% 70,925,551 +9.7% 1.3% $19,398,139,061
BANK OF AMERICA CORP /DE/ 1.1% 68,768,715 -0.49% 1.4% $19,775,131,724
Capital World Investors 1.1% 65,347,108 +21% 2.6% $18,789,110,940
NORTHERN TRUST CORP 1.1% 64,991,458 -0.23% 2.5% $18,688,943,662
GOLDMAN SACHS GROUP INC 0.94% 57,846,836 +11% 2.2% $16,634,436,430
Capital Research Global Investors 0.93% 57,546,747 +11% 2.6% $16,547,805,429
Berkshire Hathaway Inc 0.88% 54,249,798 +204% 5.9% $15,600,071,913
WELLINGTON MANAGEMENT GROUP LLP 0.77% 47,620,485 -17% 2.6% $13,693,746,665
Invesco Ltd. 0.74% 45,843,660 +0.99% 2% $13,182,802,971
UBS AM, a distinct business unit of UBS ASSET MANAGEMENT AMERICAS LLC 0.73% 45,196,290 +10% 2.7% $12,996,645,151
CHARLES SCHWAB INVESTMENT MANAGEMENT INC 0.66% 40,918,971 +2.6% 1.8% $11,766,659,319
Bank of New York Mellon Corp 0.65% 40,113,894 -3.8% 2.1% $11,535,151,476
Fisher Asset Management, LLC 0.63% 39,050,562 +2.5% 3.8% $11,229,380,046
Legal & General Group Plc 0.61% 37,758,891 -0.41% 2.5% $10,857,946,702
FRANKLIN RESOURCES INC 0.58% 35,954,726 +9% 2.5% $10,339,140,445
ROYAL BANK OF CANADA 0.57% 35,271,164 -6.8% 1.9% $10,142,577,000
VANGUARD FIDUCIARY TRUST CO 0.54% 33,214,771 0% 2.4% $9,551,239,549

Quarter history

Institutional holders across reporting periods

Holder count, reported shares/value, and median price by quarter.

Periods
49
Latest
Q1 2026
Rows shown
1-25 of 49
Period 13F Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2026 Q1 4,492,321,862 $1,291,069,487,888 -$17,900,739,099 $287.56 5,569
2025 Q4 4,549,993,527 $1,422,365,329,413 +$28,994,946,485 $313.00 5,662
2025 Q3 4,433,877,295 $1,077,867,011,710 -$15,803,187,611 $243.10 5,092
2025 Q2 4,529,074,516 $798,275,476,702 +$20,208,087,426 $176.23 4,916
2025 Q1 4,421,464,709 $683,470,635,715 -$28,989,416,258 $154.64 4,849
2024 Q4 4,569,036,928 $865,238,728,446 +$1,913,201,507 $189.30 4,969
2024 Q3 4,529,606,372 $751,071,954,796 -$6,335,325,112 $165.85 4,471
2024 Q2 4,533,880,554 $825,931,723,658 +$3,708,740,789 $182.15 4,493
2024 Q1 4,522,172,737 $682,700,156,713 -$1,433,040,783 $150.93 4,373
2023 Q4 4,533,036,777 $633,067,144,373 -$1,139,652,412 $139.69 4,335
2023 Q3 4,532,184,899 $593,258,834,791 +$100,207,051 $130.86 4,036
2023 Q2 4,528,524,207 $541,504,875,452 +$4,816,074,569 $119.70 3,953
2023 Q1 4,483,487,612 $464,809,190,275 +$992,133,083 $103.73 3,861
2022 Q4 4,500,066,368 $397,042,961,257 -$3,578,000,135 $88.23 3,816
2022 Q3 4,534,093,219 $433,913,013,492 +$405,660,053,020 $95.65 3,678
2022 Q2 224,244,616 $488,655,009,659 -$2,095,990,802 $2179.26 3,587
2022 Q1 229,819,333 $638,840,147,424 -$11,756,940,558 $2781.35 3,816
2021 Q4 233,745,988 $676,942,915,292 -$3,131,249,342 $2897.04 3,785
2021 Q3 233,524,132 $624,454,185,605 -$3,362,977,027 $2673.52 3,385
2021 Q2 234,767,837 $573,148,508,539 -$3,598,431,401 $2441.79 3,345
2021 Q1 236,800,177 $488,372,549,209 +$524,339,483 $2062.52 3,265
2020 Q4 236,979,553 $415,165,016,215 +$4,143,975,486 $1752.64 3,168
2020 Q3 234,403,177 $343,417,329,152 -$3,652,546,898 $1465.60 2,855
2020 Q2 235,755,216 $334,342,485,007 -$981,643,512 $1418.05 2,856
2020 Q1 236,654,699 $274,995,617,322 -$1,959,131,972 $1161.95 2,800
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