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VMW — VMWARE INC. CLASS A

Reported value held$12.90B
Funds holding (latest)52
Sector—

VMW (VMWARE INC. CLASS A) is tracked on HoldingsHub across five years of quarterly 13F filings. 52 funds have reported positions historically, with the sum of their latest reported stakes valued at $12.90B. No fund in our coverage reported a position in the latest filing period, which typically means the stock has fallen out of the tracked funds' portfolios rather than that it cannot be bought.

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
Dodge & Cox history Q3 2023 19.73M $3.29B 2.26% Reduce
Vanguard Group history Q3 2023 15.64M $2.60B 0.07% Add
Temasek Holdings history Q3 2023 4.57M $761.37M 5.64% Hold
Millennium Management history Q3 2023 3.96M $658.74M 0.34% Add
Deutsche Bank AG history Q3 2023 3.09M $515.07M 0.29% Reduce
Citadel Advisors history Q3 2023 2.94M $489.14M 0.11% Add
Geode Capital Management history Q3 2023 2.85M $474.07M 0.06% Add
Balyasny Asset Management history Q3 2023 2.75M $457.64M 0.95% Add
D. E. Shaw & Co history Q3 2023 2.36M $393.16M 0.45% Add
JPMorgan Chase & Co history Q3 2023 2.27M $378.53M 0.07% Add
Legal & General Investment Management America history Q3 2023 1.76M $293.22M 0.10% Add
Northern Trust Corp history Q3 2023 1.71M $284.83M 0.06% Add
Morgan Stanley history Q3 2023 1.62M $270.37M 0.03% Add
Bank of America Corp history Q3 2023 1.41M $234.38M 0.03% Add
Goldman Sachs Group history Q3 2023 1.31M $218.19M 0.05% Add
Norges Bank Investment Management history Q4 2022 1.52M $186.46M 0.05% New
BNY Mellon history Q3 2023 970.43K $161.56M 0.04% Reduce
Marshall Wace history Q3 2023 895.96K $149.16M 0.31% Reduce
Charles Schwab Investment Management history Q3 2023 827.21K $137.71M 0.04% Add
CDPQ (Caisse de Depot) history Q3 2023 784.12K $130.54M 0.38% Reduce

View all 52 fund holders →

New Positions (latest)

No fund opened a new position this quarter.

Fully Exited (vs previous quarter)

No tracked fund fully exited this quarter.

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

FundQ1 2021Q2 2021Q3 2021Q4 2021Q1 2022Q2 2022Q3 2022Q4 2022Q1 2023Q2 2023Q3 2023
Dodge & Cox — — 8.30M 25.45M 26.95M 28.03M 27.27M 27.30M 26.62M 26.07M 19.73M
Vanguard Group 4.97M 4.95M 4.88M 12.77M 13.05M 13.24M 14.34M 14.66M 14.95M 15.38M 15.64M
Temasek Holdings — — 674.62K 4.57M 4.57M 4.57M 4.57M 4.57M 4.57M 4.57M 4.57M
Millennium Management — — 507.01K 641.65K 740.71K 1.90M 2.26M 2.25M 1.47M 1.14M 3.96M
Deutsche Bank AG — — 1.95M 3.27M 2.75M 2.61M 3.46M 3.64M 4.73M 5.05M 3.09M
Citadel Advisors — — 3.81M 2.04M 916.11K 1.16M 1.41M 1.68M 2.75M 2.65M 2.94M
Geode Capital Management — — 847.61K 2.53M 2.14M 2.05M 2.06M 2.07M 2.14M 2.27M 2.85M
Balyasny Asset Management — — 176.00K — — 609.59K 515.39K 1.16M 1.33M 1.41M 2.75M
D. E. Shaw & Co — — 36.50K 379.38K 76.64K 54.08K 23.95K 58.45K 410.38K 961.82K 2.36M
JPMorgan Chase & Co — — 88.34K 228.72K 1.53M 1.53M 2.12M 994.91K 1.42M 2.16M 2.27M
Legal & General Investment Management America — — 1.13M 2.12M 2.63M 2.51M 1.33M 1.38M 1.49M 1.66M 1.76M
Northern Trust Corp — — 679.38K 1.64M 1.61M 1.51M 1.49M 1.61M 1.63M 1.59M 1.71M
Morgan Stanley — — 376.56K 752.92K 676.67K 1.33M 1.68M 2.66M 3.02M 1.37M 1.62M
Bank of America Corp — — 1.35M 2.79M 1.14M 619.27K 685.00K 830.69K 1.17M 1.15M 1.41M
Goldman Sachs Group — — 3.38M 3.62M 2.79M 1.86M 946.87K 949.40K 582.55K 469.74K 1.31M
BNY Mellon — — 361.86K 829.09K 813.94K 802.70K 984.67K 988.28K 955.35K 976.56K 970.43K
Marshall Wace — — 562.30K 1.08M 546.80K 2.11M 2.72M 1.36M 1.19M 1.12M 895.96K
Charles Schwab Investment Management — — 316.42K 794.83K 654.32K 668.73K 700.90K 745.67K 766.63K 793.97K 827.21K
CDPQ (Caisse de Depot) — 34.20K 38.59K 340.66K 920.66K 850.33K 606.17K — 327.58K 1.04M 784.12K
Amundi US — — 187.82K 276.31K 238.86K 227.39K 609.25K 583.89K 546.80K 1.43M 706.94K

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