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GOOGL — Alphabet Inc. (formerly Google Inc.) - FilingSpy
GOOGL
Alphabet Inc. (formerly Google Inc.)
Class C Capital Stock
CUSIP: 02079K305
Communication Services
US
27 holders
Ownership
Activity
Fundamentals
2020 Q1
24 of 42 quarters
Total Value
$4.71B
Total Shares
3.96M
Net Share Change
+378.4K
Activity
12 buying
10 selling
Investor
Value
Shares
Weight
Change
TCI Fund Management
$718.11M
618.0K
3.4%
Unchanged
TCI Fund Management
$718.11M
618.0K shares
Unchanged
Jensen Investment Management
$494.36M
425.5K
5.5%
ADD
+93.3K
(+28.1%)
Jensen Investment Management
$494.36M
425.5K shares
ADD
+93.3K
(+28.1%)
Cantillon Capital Management
$390.28M
335.9K
4.3%
TRIM
-622
(-0.2%)
Cantillon Capital Management
$390.28M
335.9K shares
TRIM
-622
(-0.2%)
Viking Global Investors
$363.90M
313.2K
1.9%
ADD
+257.9K
(+466.5%)
Viking Global Investors
$363.90M
313.2K shares
ADD
+257.9K
(+466.5%)
Conifer Management
$348.58M
300.0K
27.5%
TRIM
-60.0K
(-16.7%)
Conifer Management
$348.58M
300.0K shares
TRIM
-60.0K
(-16.7%)
AltaRock Partners
$338.06M
290.9K
21.5%
ADD
+60.9K
(+26.5%)
AltaRock Partners
$338.06M
290.9K shares
ADD
+60.9K
(+26.5%)
Oakmark Select Fund
$335.82M
289.0K
11.1%
ADD
+32.0K
(+12.4%)
Oakmark Select Fund
$335.82M
289.0K shares
ADD
+32.0K
(+12.4%)
FPA Crescent Fund
$267.38M
230.1K
4.0%
TRIM
-13.7K
(-5.6%)
FPA Crescent Fund
$267.38M
230.1K shares
TRIM
-13.7K
(-5.6%)
Davis New York Venture Fund
$252.74M
176.4K
3.0%
TRIM
-9.5K
(-5.1%)
Davis New York Venture Fund
$252.74M
176.4K shares
TRIM
-9.5K
(-5.1%)
Brave Warrior Advisors
$204.94M
176.4K
11.8%
TRIM
-57.0K
(-24.4%)
Brave Warrior Advisors
$204.94M
176.4K shares
TRIM
-57.0K
(-24.4%)
First Eagle Global Fund
$193.02M
134.7K
1.0%
Unchanged
First Eagle Global Fund
$193.02M
134.7K shares
Unchanged
Abrams Capital Management
$170.16M
146.4K
6.7%
ADD
+25.4K
(+21.0%)
Abrams Capital Management
$170.16M
146.4K shares
ADD
+25.4K
(+21.0%)
Sequoia Fund
$166.99M
143.7K
5.7%
Unchanged
Sequoia Fund
$166.99M
143.7K shares
Unchanged
Polen Growth Fund
$120.64M
84.2K
2.3%
ADD
+6.3K
(+8.1%)
Polen Growth Fund
$120.64M
84.2K shares
ADD
+6.3K
(+8.1%)
Dodge & Cox Stock Fund
$95.28M
82.0K
0.2%
TRIM
-300
(-0.4%)
Dodge & Cox Stock Fund
$95.28M
82.0K shares
TRIM
-300
(-0.4%)
Miller Value Partners
$57.88M
49.8K
3.7%
ADD
+49.2K
(+8201.5%)
Miller Value Partners
$57.88M
49.8K shares
ADD
+49.2K
(+8201.5%)
Bill & Melinda Gates Foundation Trust
$50.09M
43.1K
0.3%
NEW
Bill & Melinda Gates Foundation Trust
$50.09M
43.1K shares
NEW
Tiger Global Management
$35.44M
30.5K
0.2%
TRIM
-75.9K
(-71.3%)
Tiger Global Management
$35.44M
30.5K shares
TRIM
-75.9K
(-71.3%)
Sound Shore Fund
$25.68M
22.1K
2.8%
TRIM
-3.1K
(-12.5%)
Sound Shore Fund
$25.68M
22.1K shares
TRIM
-3.1K
(-12.5%)
Greenlea Lane Capital
$18.32M
15.8K
12.0%
NEW
Greenlea Lane Capital
$18.32M
15.8K shares
NEW
Fairfax Financial Holdings
$15.96M
13.7K
1.1%
NEW
Fairfax Financial Holdings
$15.96M
13.7K shares
NEW
Markel Group
$14.52M
12.5K
0.3%
Unchanged
Markel Group
$14.52M
12.5K shares
Unchanged
RV Capital AG
$13.25M
11.4K
9.4%
ADD
+3.2K
(+39.0%)
RV Capital AG
$13.25M
11.4K shares
ADD
+3.2K
(+39.0%)
Giverny Capital
$7.70M
6.6K
1.0%
ADD
+257
(+4.0%)
Giverny Capital
$7.70M
6.6K shares
ADD
+257
(+4.0%)
Tweedy, Browne Value Fund
$7.15M
6.2K
2.3%
Unchanged
Tweedy, Browne Value Fund
$7.15M
6.2K shares
Unchanged
Wedgewood Fund
$4.56M
3.9K
8.8%
TRIM
-2.5K
(-39.2%)
Wedgewood Fund
$4.56M
3.9K shares
TRIM
-2.5K
(-39.2%)
Gardner Russo & Quinn
$2.03M
1.7K
0.0%
TRIM
-70
(-3.9%)
Gardner Russo & Quinn
$2.03M
1.7K shares
TRIM
-70
(-3.9%)