VANGUARD GROUP INC: TTC position timeline
Available 13F reports, 13D and 13G stakes and each Form 3, 4 and 5 line of VANGUARD GROUP INC on TTC, newest first. How the timeline and the estimate are built.
VANGUARD GROUP INC held 10,601,646 TTC shares at 2026-06-30 per its 13F-HR filed 2026-08-13.
the latest 13F is the newest step
- period ended2026-06-3013F 10,601,646 sharesChange vs previous 13F +236,673 shares
0.01% of the 13F portfolio, value $1,032,812,353.
13F-HR 0002100121-26-001018 filed by VANGUARD PORTFOLIO MANAGEMENT LLC
Filed (acceptance time not in the bulk data set), ingested- VANGUARD FIDUCIARY TRUST CO: 612,307 shares
- Vanguard Investments Australia, Ltd.: 25,053 shares
- VANGUARD ASSET MANAGEMENT, Ltd: 91,710 shares
- Vanguard Personalized Indexing Management, LLC: 9,964 shares
- Vanguard Global Advisers, LLC: 37,660 shares
- VANGUARD CAPITAL MANAGEMENT LLC: 4,374,707 shares
- VANGUARD PORTFOLIO MANAGEMENT LLC: 5,450,245 shares
Acceptance time not in the bulk data set (spec §4.2).
- period ended2026-03-3113F/A 10,364,973 sharesChange vs previous 13F +3,694 shares
0.01% of the 13F portfolio, value $968,503,077.
13F-HR 0002100121-26-000861 filed by VANGUARD PORTFOLIO MANAGEMENT LLC
Filed (acceptance time not in the bulk data set), ingested- VANGUARD FIDUCIARY TRUST CO: 605,396 shares
- Vanguard Investments Australia, Ltd.: 25,053 shares
- VANGUARD ASSET MANAGEMENT, Ltd: 89,606 shares
- Vanguard Personalized Indexing Management, LLC: 9,528 shares
- Vanguard Global Advisers, LLC: 42,410 shares
- VANGUARD CAPITAL MANAGEMENT LLC: 4,388,308 shares
- VANGUARD PORTFOLIO MANAGEMENT LLC: 5,204,672 shares
Acceptance time not in the bulk data set (spec §4.2).
- period ended2025-12-3113F 10,361,279 sharesChange vs previous 13F +115,539 shares
0.01% of the 13F portfolio, value $815,639,884.
13F-HR 0000102909-26-000031 filed by VANGUARD GROUP INC
Filed (acceptance time not in the bulk data set), ingested- VANGUARD GROUP INC: 10,354,519 shares
- Vanguard Personalized Indexing Management, LLC: 6,760 shares
Acceptance time not in the bulk data set (spec §4.2).
- period ended2025-09-3013F 10,245,740 sharesChange vs previous 13F -150,023 shares
0.01% of the 13F portfolio, value $780,725,387.
13F-HR 0000102909-25-000353 filed by VANGUARD GROUP INC
Filed (acceptance time not in the bulk data set), ingested- VANGUARD GROUP INC: 10,235,845 shares
- Vanguard Personalized Indexing Management, LLC: 9,895 shares
Acceptance time not in the bulk data set (spec §4.2).
- period ended2025-06-3013F 10,395,763 sharesChange vs previous 13F -105,622 shares
0.01% of the 13F portfolio, value $734,772,529.
13F-HR 0001752724-25-185843 filed by VANGUARD GROUP INC
Filed (acceptance time not in the bulk data set), ingested- VANGUARD GROUP INC: 10,385,835 shares
- Vanguard Personalized Indexing Management, LLC: 9,928 shares
Acceptance time not in the bulk data set (spec §4.2).
- period ended2025-03-3113F 10,501,385 sharesChange vs previous 13F +166,873 shares
0.01% of the 13F portfolio, value $763,975,764.
13F-HR 0001752724-25-099331 filed by VANGUARD GROUP INC
Filed (acceptance time not in the bulk data set), ingested- VANGUARD GROUP INC: 10,495,037 shares
- Vanguard Personalized Indexing Management, LLC: 6,348 shares
Acceptance time not in the bulk data set (spec §4.2).
- period ended2024-12-3113F 10,334,512 sharesChange vs previous 13F -32,723 shares
0.01% of the 13F portfolio, value $827,794,383.
13F-HR 0001752724-25-022205 filed by VANGUARD GROUP INC
Filed (acceptance time not in the bulk data set), ingested- VANGUARD GROUP INC: 10,325,172 shares
- Vanguard Personalized Indexing Management, LLC: 9,340 shares
Acceptance time not in the bulk data set (spec §4.2).
- period ended2024-09-3013F 10,367,235 sharesChange vs previous 13F not available
0.02% of the 13F portfolio, value $899,150,325.
13F-HR 0001752724-24-248565 filed by VANGUARD GROUP INC
Filed (acceptance time not in the bulk data set), ingested- VANGUARD GROUP INC: 10,358,036 shares
- Vanguard Personalized Indexing Management, LLC: 9,199 shares
Acceptance time not in the bulk data set (spec §4.2).