Filing
Spy
Filing
Spy
Home
About
GOOGL — Alphabet Inc. (formerly Google Inc.) - FilingSpy
GOOGL
Alphabet Inc. (formerly Google Inc.)
Class C Capital Stock
CUSIP: 02079K305
Communication Services
US
31 holders
Ownership
Activity
Fundamentals
2022 Q1
16 of 42 quarters
Total Value
$8.17B
Total Shares
2.94M
Net Share Change
-99.0K
Activity
10 buying
11 selling
Investor
Value
Shares
Weight
Change
TCI Fund Management
$1.59B
573.0K
4.3%
TRIM
-45.0K
(-7.3%)
TCI Fund Management
$1.59B
573.0K shares
TRIM
-45.0K
(-7.3%)
Fundsmith
$1.06B
380.4K
3.6%
TRIM
-38.7K
(-9.2%)
Fundsmith
$1.06B
380.4K shares
TRIM
-38.7K
(-9.2%)
AltaRock Partners
$932.06M
335.1K
23.8%
ADD
+46.7K
(+16.2%)
AltaRock Partners
$932.06M
335.1K shares
ADD
+46.7K
(+16.2%)
Jensen Investment Management
$903.97M
325.0K
6.7%
ADD
+2.3K
(+0.7%)
Jensen Investment Management
$903.97M
325.0K shares
ADD
+2.3K
(+0.7%)
Cantillon Capital Management
$830.54M
298.6K
5.9%
ADD
+8.2K
(+2.8%)
Cantillon Capital Management
$830.54M
298.6K shares
ADD
+8.2K
(+2.8%)
Oakmark Select Fund
$477.87M
171.8K
9.7%
TRIM
-21.2K
(-11.0%)
Oakmark Select Fund
$477.87M
171.8K shares
TRIM
-21.2K
(-11.0%)
Abrams Capital Management
$407.30M
146.4K
9.5%
Unchanged
Abrams Capital Management
$407.30M
146.4K shares
Unchanged
First Eagle Global Fund
$364.56M
134.7K
1.5%
Unchanged
First Eagle Global Fund
$364.56M
134.7K shares
Unchanged
FPA Crescent Fund
$334.00M
120.1K
4.8%
Unchanged
FPA Crescent Fund
$334.00M
120.1K shares
Unchanged
Sequoia Fund
$278.25M
100.0K
6.9%
Unchanged
Sequoia Fund
$278.25M
100.0K shares
Unchanged
Davis New York Venture Fund
$274.41M
101.4K
3.5%
TRIM
-4.4K
(-4.1%)
Davis New York Venture Fund
$274.41M
101.4K shares
TRIM
-4.4K
(-4.1%)
Polen Growth Fund
$195.87M
72.4K
1.6%
TRIM
-60.3K
(-45.4%)
Polen Growth Fund
$195.87M
72.4K shares
TRIM
-60.3K
(-45.4%)
Dodge & Cox Stock Fund
$176.06M
63.3K
0.2%
Unchanged
Dodge & Cox Stock Fund
$176.06M
63.3K shares
Unchanged
Miller Value Partners
$93.59M
33.6K
3.0%
TRIM
-50
(-0.1%)
Miller Value Partners
$93.59M
33.6K shares
TRIM
-50
(-0.1%)
Fairfax Financial Holdings
$46.52M
16.7K
1.5%
Unchanged
Fairfax Financial Holdings
$46.52M
16.7K shares
Unchanged
Markel Group
$43.11M
15.5K
0.5%
ADD
+2.3K
(+17.0%)
Markel Group
$43.11M
15.5K shares
ADD
+2.3K
(+17.0%)
Sound Shore Fund
$30.25M
10.9K
2.6%
ADD
+2.2K
(+25.6%)
Sound Shore Fund
$30.25M
10.9K shares
ADD
+2.2K
(+25.6%)
Greenlea Lane Capital
$30.23M
10.9K
8.4%
ADD
+1.5K
(+15.5%)
Greenlea Lane Capital
$30.23M
10.9K shares
ADD
+1.5K
(+15.5%)
Giverny Capital
$26.22M
9.4K
1.5%
ADD
+47
(+0.5%)
Giverny Capital
$26.22M
9.4K shares
ADD
+47
(+0.5%)
Scion Asset Management
$18.08M
6.5K
9.0%
NEW
Scion Asset Management
$18.08M
6.5K shares
NEW
Tweedy, Browne Value Fund
$17.11M
6.2K
4.1%
Unchanged
Tweedy, Browne Value Fund
$17.11M
6.2K shares
Unchanged
Patient Capital Management
$9.57M
3.4K
3.2%
TRIM
-245
(-6.6%)
Patient Capital Management
$9.57M
3.4K shares
TRIM
-245
(-6.6%)
Hillman Value Fund
$7.79M
2.8K
3.3%
Unchanged
Hillman Value Fund
$7.79M
2.8K shares
Unchanged
Bridgewater Associates LP
$4.93M
1.8K
0.0%
ADD
+1.3K
(+278.0%)
Bridgewater Associates LP
$4.93M
1.8K shares
ADD
+1.3K
(+278.0%)
Wedgewood Fund
$2.77M
996
7.7%
TRIM
-375
(-27.4%)
Wedgewood Fund
$2.77M
996 shares
TRIM
-375
(-27.4%)
Gardner Russo & Quinn
$2.73M
982
0.0%
TRIM
-12
(-1.2%)
Gardner Russo & Quinn
$2.73M
982 shares
TRIM
-12
(-1.2%)
Lindsell Train
$2.23M
800
0.0%
Unchanged
Lindsell Train
$2.23M
800 shares
Unchanged
Aquamarine Capital
$2.23M
800
1.0%
Unchanged
Aquamarine Capital
$2.23M
800 shares
Unchanged
Maverick Capital
$1.18M
425
0.0%
ADD
+397
(+1417.9%)
Maverick Capital
$1.18M
425 shares
ADD
+397
(+1417.9%)
Brave Warrior Advisors
$926.0K
333
0.0%
TRIM
-232
(-41.1%)
Brave Warrior Advisors
$926.0K
333 shares
TRIM
-232
(-41.1%)
Matrix Asset Advisors
$317.0K
114
0.0%
TRIM
-4
(-3.4%)
Matrix Asset Advisors
$317.0K
114 shares
TRIM
-4
(-3.4%)