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AMCX — AMC NETWORKS INC

Reported value held$156.82M
Funds holding (latest)41
SectorCommunication Services
Funds holding (Q2 2026)30
Institutional value$124.30M · 31.00M sh
New / Add / Cut / Exit1 / 16 / 11 / 1
Top-5 / Top-10 concentration55.0% / 84.9%
Institutional holdings change Accumulating +133.3% (+17.71M sh)
Institutional value change Up +38.4%

As of Q2 2026, 30 SEC-registered investment managers reported holding AMCX (AMC NETWORKS INC) in their latest 13F filings, with a combined reported value of $124.30M across 31.00M shares. That is +133.3% by share count (+17.71M shares) versus the previous quarter, while reported value moved +38.4%. Ownership is concentrated: the five largest holders account for 55.0% of reported value and the top ten for 84.9%.

Compared with the prior quarter, 1 opened new positions, 16 added to existing stakes, 11 trimmed, 1 exited entirely. 13F holdings are quarter-end snapshots, so these moves reflect positioning as of Q2 2026, not real-time trading.

AMCX is classified in the Communication Services 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
BlackRock Inc history Q2 2026 20.69M $22.00M 0.00% Add
Vanguard Group history Q4 2025 2.24M $21.34M 0.00% Add
Charles Schwab Investment Management history Q2 2026 1.32M $13.17M 0.00% Reduce
JPMorgan Chase & Co history Q2 2026 1.21M $12.12M 0.00% New
Geode Capital Management history Q2 2026 1.15M $11.48M 0.00% Add
AQR Capital Management history Q2 2026 959.65K $9.58M 0.00% Add
D. E. Shaw & Co history Q2 2026 923.86K $9.22M 0.01% Add
UBS Group AG history Q2 2026 838.23K $8.37M 0.00% Reduce
Two Sigma Investments history Q2 2026 827.95K $8.26M 0.01% Reduce
Marshall Wace history Q2 2026 773.89K $7.72M 0.01% Reduce
Norges Bank Investment Management history Q4 2022 291.74K $4.57M 0.00% New
Northern Trust Corp history Q2 2026 357.13K $3.56M 0.00% Add
Citadel Advisors history Q2 2026 341.98K $3.41M 0.00% Add
Morgan Stanley history Q2 2026 304.18K $3.04M 0.00% Reduce
Prudential Financial history Q2 2026 301.01K $3.00M 0.00% Reduce
Goldman Sachs Group history Q2 2026 278.14K $2.78M 0.00% Reduce
Janus Henderson Group history Q1 2025 309.09K $2.11M 0.00% Hold
BNY Mellon history Q2 2026 145.08K $1.45M 0.00% Add
Bridgewater Associates history Q1 2023 57.70K $1.01M 0.01% New
Citigroup Inc history Q2 2026 93.99K $938.02K 0.00% Add

View all 41 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
BlackRock Inc — — — — — — — — — — — — 3.02M 3.29M 3.35M 3.26M 3.40M 3.39M 3.38M 20.69M
Charles Schwab Investment Management 482.42K 476.24K 534.85K 601.18K 692.63K 812.60K 870.11K 1.06M 1.37M 1.53M 1.61M 1.34M 979.14K 583.24K 683.39K 1.15M 1.78M 2.24M 1.95M 1.32M
JPMorgan Chase & Co 541.83K 468.00K 444.79K 548.34K 497.78K 499.82K 266.80K 332.41K 351.47K 270.36K 244.16K 216.05K 374.21K 1.62M 1.64M 1.51M 1.47M 1.39M — 1.21M
Geode Capital Management 576.42K 559.78K 524.35K 540.84K 538.56K 546.62K 563.19K 583.14K 625.22K 673.21K 688.73K 744.22K 775.60K 801.64K 896.82K 933.02K 1.00M 1.02M 1.03M 1.15M
AQR Capital Management 33.95K 25.97K 43.79K 54.57K 157.79K 563.17K 558.90K 773.89K 659.78K 239.45K 181.40K 313.61K 587.93K 765.30K 538.70K 372.23K 410.86K 391.33K 791.73K 959.65K
D. E. Shaw & Co 201.82K 146.10K 257.46K 285.41K 311.70K 460.31K 827.84K 998.76K 1.23M 1.15M 862.96K 497.10K 1.28M 1.47M 1.47M 1.22M 1.36M 1.19M 870.63K 923.86K
UBS Group AG 22.42K 30.00K 25.69K 14.50K 35.58K 61.87K 143.68K 133.56K 70.97K 18.17K 35.80K 66.08K 134.55K 877.09K 905.98K 1.03M 1.17M 806.88K 886.00K 838.23K
Two Sigma Investments 95.36K 29.60K 17.32K — — — 24.42K — 19.94K — 15.60K 45.72K 479.35K 569.52K 649.41K 530.13K 635.12K 663.29K 842.35K 827.95K
Marshall Wace 41.35K 94.31K — 135.36K — 82.62K — — — — — 461.27K 1.03M 911.55K 1.02M 1.42M 1.46M 1.24M 1.19M 773.89K
Northern Trust Corp 342.46K 337.86K 330.66K 323.21K 317.02K 325.67K 316.66K 308.38K 319.57K 322.78K 320.65K 311.64K 296.22K 289.47K 282.34K 285.02K 275.13K 250.91K 264.33K 357.13K
Citadel Advisors 166.65K 368.45K 638.53K 322.74K 541.80K 358.15K 515.37K 632.44K 294.64K 121.59K 376.66K 524.41K 1.86M 317.56K 501.81K 174.77K 96.42K 116.01K 158.94K 341.98K
Morgan Stanley 239.43K 278.35K 263.66K 348.54K 364.63K 483.85K 510.90K 440.11K 620.42K 529.70K 709.92K 537.49K 556.66K 634.73K 733.32K 704.68K 559.77K 547.86K 399.14K 304.18K
Prudential Financial 80.92K 41.42K 31.14K 31.11K 29.38K 55.92K 103.79K 169.44K 186.99K 213.44K 179.44K 163.99K 157.60K 153.10K 62.54K 169.82K 255.02K 243.53K 369.23K 301.01K
Goldman Sachs Group 419.46K 841.68K 544.69K 606.57K 536.72K 259.76K 127.60K 183.61K 186.54K 175.81K 160.19K 109.97K 562.34K 538.08K 101.34K 260.43K 322.74K 398.58K 315.33K 278.14K
BNY Mellon 394.30K 372.19K 369.68K 367.34K 366.23K 373.69K 337.21K 349.55K 359.99K 338.14K 335.61K 315.87K 157.92K 138.71K 141.51K 140.36K 150.86K 139.37K 144.01K 145.08K
Citigroup Inc 36.76K 41.25K 40.11K 27.72K 29.89K 31.47K 27.18K 43.58K 21.57K 31.48K 55.94K 63.39K 98.91K 83.99K 67.93K 48.62K 126.48K 85.49K 39.94K 93.99K
Principal Global Investors 286.98K 225.45K 213.20K 201.06K 178.81K 187.27K 182.35K 167.44K 172.13K 169.63K 179.45K 176.92K 21.06K 23.10K 23.80K 29.72K 33.04K 47.60K 80.73K 86.70K
Invesco Ltd 1.04M 361.52K 1.38M 197.66K 948.09K 418.63K 450.76K 498.31K 528.95K 457.00K 870.68K 752.59K 303.70K 302.11K 273.38K 209.58K 155.92K 108.40K 97.85K 76.96K
Bank of America Corp 310.29K 250.73K 237.11K 227.57K 172.95K 157.35K 162.18K 54.80K 62.12K 76.76K 356.13K 185.42K 189.47K 109.82K 89.64K 179.04K 26.34K 89.21K 39.72K 43.52K
Millennium Management 113.12K 190.68K 222.23K 53.54K 396.80K 885.75K 223.82K 467.94K 51.78K 43.54K 303.95K 242.44K 1.52M 1.01M 978.75K 101.54K 24.61K 346.92K 53.84K 39.07K

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