Security Snapshot

HUBSPOT INC - COMMON STOCK (HUBS) Institutional Ownership

CUSIP: 443573100

13F Institutional Holders and Ownership History from Q4 2014 to Q1 2026

Latest Period

Q1 2026

Institutions Reporting

666

Shares (Excl. Options)

49,005,698

Price

$244.10

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Latest holder snapshot 5 signals
Portfolio coverage rank
0.01%
Share change
+2,465,507
Value change
+$168,260,240
Number of holders
666
Issuer context Names, identifiers, and filing context for this profile. 3 identity fields
Shares outstanding
53,018,575
SEC-reported price per share
$201.97
Insider filing price
$201.97
13F Shares, Excluding Options vs Price
13F Value, Excluding Options
Total Investors

Key facts

  • HUBS - HUBSPOT INC - COMMON STOCK is tracked under CUSIP 443573100.
  • 666 institutions reported positions in Q1 2026.
  • 6 significant owners is listed from Schedule 13D/13G reporting.

Change

  • Holder count moved from 740 to 666 between Q4 2025 and Q1 2026.
  • SEC-reported value moved from $18,840,893,395 to $11,942,905,093.

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 666 institutions filings for Q1 2026.

Open SEC evidence

Security key

443573100

Latest holder period

Q1 2026

13F holders

666

13D/G owners

6

CIK / CUSIP context first

13D/G owners

Significant owners

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

Rows
6
Security
HUBS
Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
PRICE T ROWE ASSOCIATES INC /MD/ 8.7% -14% $1,049,877,528 -$159,609,919 4,612,616 -13% T. Rowe Price Associates, Inc. 31 Mar 2026
BlackRock, Inc. 6.4% $1,756,728,992 3,328,399 BlackRock, Inc. 31 Mar 2025
VANGUARD PORTFOLIO MANAGEMENT LLC 5.4% $701,739,656 2,874,804 Vanguard Portfolio Management 31 Mar 2026
VANGUARD CAPITAL MANAGEMENT LLC 5.2% $665,981,447 2,728,314 Vanguard Capital Management 31 Mar 2026
FMR LLC 4.4% -45% $1,277,149,811 -$1,011,096,524 2,306,282 -44% FMR LLC 30 Jun 2025
JPMORGAN CHASE & CO 3.8% -43% $955,038,493 -$591,592,978 2,041,553 -38% JPMORGAN CHASE & CO. 30 Sep 2025

As of 31 Mar 2026, 666 institutional investors reported holding 49,005,698 shares of HUBSPOT INC - COMMON STOCK (HUBS). This represents 92% of the company’s total 53,018,575 outstanding shares.

13F concentration

Top 25 institutional shareholders

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

Top holder share
65%
Institution Ownership % Shares Held Share Change % Portfolio % Holdings Value
PRICE T ROWE ASSOCIATES INC /MD/ 8.7% 4,605,897 +0.52% 0.13% $1,124,300,000
BlackRock, Inc. 7.7% 4,098,507 +6.8% 0.02% $1,000,445,629
VANGUARD PORTFOLIO MANAGEMENT LLC 5.4% 2,861,445 0% 0.04% $698,478,725
JPMORGAN CHASE & CO 5% 2,655,310 +17% 0.04% $631,459,744
VANGUARD CAPITAL MANAGEMENT LLC 4.3% 2,271,588 0% 0.01% $554,494,631
Pictet Asset Management Holding SA 4.1% 2,188,191 +13% 0.56% $533,992,514
FMR LLC 3.3% 1,748,271 -6.3% 0.02% $426,752,916
AQR CAPITAL MANAGEMENT LLC 3.1% 1,628,169 +37% 0.18% $397,436,163
TWO SIGMA INVESTMENTS, LP 2.5% 1,344,621 +556% 0.27% $328,221,986
MORGAN STANLEY 2.4% 1,267,287 +155% 0.02% $309,345,344
STATE STREET CORP 2.4% 1,250,224 +4.9% 0.01% $305,179,678
GEODE CAPITAL MANAGEMENT, LLC 1.9% 1,003,295 +3.3% 0.02% $244,292,734
Capital World Investors 1.8% 959,849 +48% 0.03% $234,299,141
ARROWSTREET CAPITAL, LIMITED PARTNERSHIP 1.7% 903,559 +352% 0.12% $220,558,752
MILLENNIUM MANAGEMENT LLC 1.7% 900,179 +103% 0.16% $219,733,694
Amundi 1.1% 586,037 +33% 0.04% $143,051,633
JANE STREET GROUP, LLC 1% 554,425 +151% 0.15% $135,335,142
Alyeska Investment Group, L.P. 1% 533,340 -4.8% 0.37% $130,188,294
UBS AM, a distinct business unit of UBS ASSET MANAGEMENT AMERICAS LLC 1% 527,738 -9.9% 0.03% $128,820,846
WELLINGTON MANAGEMENT GROUP LLP 0.96% 508,947 -42% 0.02% $124,233,963
UBS Group AG 0.85% 450,384 +225% 0.02% $109,938,734
ACADIAN ASSET MANAGEMENT LLC 0.83% 438,087 +301% 0.15% $106,905,000
Legal & General Group Plc 0.8% 426,195 +3.5% 0.02% $104,034,203
GOLDMAN SACHS GROUP INC 0.78% 411,532 +44% 0.01% $100,454,905
NORTHERN TRUST CORP 0.71% 374,631 +4% 0.01% $91,447,427

Quarter history

Institutional holders across reporting periods

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

Periods
46
Latest
Q1 2026
Rows shown
1-25 of 46
Period 13F Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2026 Q1 49,005,698 $11,942,905,093 +$168,260,240 $244.10 666
2025 Q4 46,975,436 $18,840,893,395 +$3,792,588 $401.30 740
2025 Q3 46,415,042 $21,713,796,485 -$639,607,826 $467.80 763
2025 Q2 47,617,137 $26,447,061,966 +$5,436,446 $556.63 777
2025 Q1 47,558,157 $27,141,467,844 +$135,369,682 $571.29 791
2024 Q4 46,838,645 $32,641,206,913 +$770,545,164 $696.77 789
2024 Q3 45,878,646 $24,432,695,707 -$37,852,322 $531.60 714
2024 Q2 45,752,529 $26,981,409,641 +$158,665,175 $589.79 789
2024 Q1 45,454,930 $28,487,197,467 +$431,405,714 $626.56 720
2023 Q4 45,096,191 $26,170,253,844 +$128,198,368 $580.54 699
2023 Q3 44,980,479 $22,142,588,068 +$496,388,477 $492.50 673
2023 Q2 43,998,892 $23,361,999,951 -$400,267,822 $532.09 675
2023 Q1 44,898,803 $19,238,819,728 -$11,973,279 $428.75 626
2022 Q4 45,485,706 $13,161,099,573 +$235,868,707 $289.13 559
2022 Q3 44,683,930 $12,081,391,146 +$160,487,250 $270.12 543
2022 Q2 43,979,096 $13,220,818,686 +$26,206,312 $300.65 564
2022 Q1 43,482,680 $20,647,812,367 -$9,889,132 $474.94 612
2021 Q4 43,085,820 $28,395,328,044 -$99,666,090 $659.15 636
2021 Q3 43,110,955 $29,142,841,754 +$404,324,996 $676.09 586
2021 Q2 42,566,123 $24,803,773,899 +$77,120,906 $582.72 542
2021 Q1 42,587,342 $19,336,002,684 +$630,449,230 $454.21 494
2020 Q4 41,338,960 $16,381,130,199 -$88,176,708 $396.44 467
2020 Q3 41,587,105 $12,162,311,564 -$200,744,041 $292.23 353
2020 Q2 42,302,930 $9,497,089,790 +$21,543,762 $224.35 335
2020 Q1 42,751,313 $5,694,343,767 +$269,110,700 $133.19 274
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