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CRL — CHARLES RIV LABS INTL INC

Reported value held$7.20B
Funds holding (latest)58
SectorHealth Care

Index member: S&P 500

Funds holding (Q2 2026)40
Institutional value$5.86B · 27.33M sh
New / Add / Cut / Exit1 / 16 / 19 / 5
Top-5 / Top-10 concentration56.4% / 76.7%
Institutional holdings change Accumulating +3.7% (+971.43K sh)
Institutional value change Up +34.6%

As of Q2 2026, 40 SEC-registered investment managers reported holding CRL (CHARLES RIV LABS INTL INC) in their latest 13F filings, with a combined reported value of $5.86B across 27.33M shares. That is +3.7% by share count (+971.43K shares) versus the previous quarter, while reported value moved +34.6%. Ownership is concentrated: the five largest holders account for 56.4% of reported value and the top ten for 76.7%.

Compared with the prior quarter, 1 opened new positions, 16 added to existing stakes, 19 trimmed, 5 exited entirely. 13F holdings are quarter-end snapshots, so these moves reflect positioning as of Q2 2026, not real-time trading.

CRL is a constituent of the S&P 500 and is classified in the Health Care 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 5.89M $1.17B 0.02% Add
Fidelity Management & Research (FMR) history Q2 2026 4.24M $961.53M 0.05% Add
BlackRock Inc history Q2 2026 3.80M $861.48M 0.01% Reduce
Invesco Ltd history Q2 2026 2.98M $676.92M 0.06% Add
Harris Associates (Oakmark) history Q2 2026 2.24M $508.27M 0.67% Add
Geode Capital Management history Q2 2026 1.31M $295.60M 0.02% Hold
Wellington Management Group history Q2 2026 1.29M $292.21M 0.05% Reduce
Citadel Advisors history Q2 2026 1.29M $291.43M 0.04% Add
Bank of America Corp history Q2 2026 1.17M $265.93M 0.02% Add
Morgan Stanley history Q2 2026 800.49K $181.54M 0.01% Reduce
MFS Investment Management history Q2 2026 682.17K $157.64M 0.05% Reduce
UBS Group AG history Q2 2026 663.75K $150.53M 0.02% Reduce
Goldman Sachs Group history Q2 2026 639.80K $145.10M 0.01% Add
Millennium Management history Q2 2026 506.46K $114.86M 0.04% Reduce
Charles Schwab Investment Management history Q2 2026 467.66K $106.06M 0.01% Hold
Northern Trust Corp history Q2 2026 446.09K $101.17M 0.01% Hold
Amundi US history Q2 2026 412.40K $93.53M 0.02% Reduce
Norges Bank Investment Management history Q2 2026 370.04K $83.92M 0.01% Reduce
Viking Global Investors history Q1 2023 394.09K $79.54M 0.38% Reduce
Marshall Wace history Q2 2026 343.00K $77.79M 0.06% Add

View all 58 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
Fidelity Management & Research (FMR) 2.82M 2.77M 2.39M 1.52M 739.78K 557.21K 739.01K 892.33K 905.36K 379.29K 464.76K 457.72K 134.29K 142.17K 101.74K 78.32K 413.53K 1.73M 3.46M 4.24M
BlackRock Inc — — — — — — — — — — — — 4.24M 4.23M 3.67M 3.66M 3.86M 3.75M 3.86M 3.80M
Invesco Ltd 1.47M 1.41M 951.09K 947.88K 1.03M 899.49K 789.06K 851.92K 927.89K 948.32K 892.52K 995.91K 883.02K 1.03M 1.11M 1.24M 1.25M 2.70M 2.40M 2.98M
Harris Associates (Oakmark) — — — — — — — — — — — — — — — 1.16M 1.47M 1.68M 2.15M 2.24M
Geode Capital Management 911.15K 924.74K 958.62K 968.74K 994.91K 1.04M 1.06M 1.10M 1.12M 1.15M 1.19M 1.22M 1.22M 1.23M 1.26M 1.23M 1.27M 1.28M 1.31M 1.31M
Wellington Management Group — — — — 210.63K 210.65K — — — 2.72K 2.52K 2.75K 3.74M 4.08M 4.29M 3.77M 3.19M 1.75M 1.63M 1.29M
Citadel Advisors 245.77K 260.84K 294.37K 67.59K 76.93K 79.33K 34.20K 40.47K 87.27K 94.29K 116.98K 166.76K 110.10K 263.03K 362.02K 650.29K 168.13K 445.82K 1.25M 1.29M
Bank of America Corp 575.02K 534.12K 506.48K 497.92K 626.94K 668.68K 701.46K 772.49K 797.06K 736.11K 903.67K 989.23K 980.77K 822.80K 793.99K 1.03M 1.16M 1.08M 1.14M 1.17M
Morgan Stanley 187.49K 199.05K 193.05K 331.79K 281.18K 474.43K 454.41K 512.95K 525.29K 472.11K 435.06K 481.77K 468.20K 478.50K 459.01K 754.86K 834.79K 792.82K 825.67K 800.49K
MFS Investment Management 1.36M 1.29M — 860.43K 270.13K — — — — — — — — — — — — 884.69K 908.85K 682.17K
UBS Group AG 89.56K 80.22K 52.52K 29.86K 53.79K 84.45K 108.51K 110.86K 102.01K 94.88K 121.15K 146.44K 163.92K 335.66K 2.39M 735.27K 592.76K 388.83K 731.47K 663.75K
Goldman Sachs Group 123.28K 130.60K 151.61K 119.33K 118.37K 111.73K 203.54K 285.98K 163.82K 154.39K 149.24K 218.36K 153.05K 196.73K 997.49K 379.05K 239.21K 317.57K 414.73K 639.80K
Millennium Management 264.18K 219.01K 249.68K 44.57K 49.40K 442.79K 138.78K 152.50K 95.22K 180.66K 237.06K 63.52K 212.24K 373.82K 74.50K 555.32K 465.10K 366.01K 934.04K 506.46K
Charles Schwab Investment Management 274.38K 274.06K 287.93K 306.66K 441.17K 463.61K 473.97K 481.15K 492.20K 513.23K 448.81K 482.91K 515.22K 552.98K 577.32K 545.75K 476.04K 454.15K 468.97K 467.66K
Northern Trust Corp 527.35K 517.49K 505.85K 500.06K 494.57K 496.30K 491.03K 473.22K 497.47K 480.39K 459.25K 457.90K 433.82K 492.22K 492.47K 477.19K 476.46K 439.16K 445.38K 446.09K
Amundi US 190.75K 139.30K 144.22K 193.30K 138.18K 112.43K 176.41K 67.24K 44.69K 70.59K 57.70K 58.31K 53.67K 70.27K 16.35K 226.26K 310.17K 281.01K 773.32K 412.40K
Norges Bank Investment Management — — — — — 448.26K — — — 428.59K — 514.24K — 535.68K — 507.16K — 485.09K — 370.04K
Marshall Wace 302.54K 454.80K 172.86K 340.31K 555.68K 874.77K 954.91K 426.53K 121.48K — 662.85K 825.90K 309.06K 21.61K 37.93K 14.07K 138.11K 124.19K 149.65K 343.00K
Citigroup Inc 51.95K 24.47K 22.57K 18.42K 31.42K 18.89K 29.72K 20.57K 86.50K 181.70K 202.62K 213.35K 236.14K 244.66K 234.51K 146.60K 35.84K 48.94K 81.31K 316.22K
BNY Mellon 470.29K 525.14K 525.77K 545.10K 482.73K 423.55K 416.62K 404.86K 412.45K 396.60K 384.02K 480.34K 477.15K 468.59K 345.33K 386.05K 415.12K 332.23K 295.91K 304.49K

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