Hsbc Holdings Plc (NYSE:HSBC) showed up in the 13F filings of 631 institutional investors as of March 2026.
| Owner Name | Date | Shares Held | Change (QoQ) | Change (%) | Value (USD) |
|---|---|---|---|---|---|
| Fisher Asset Management, LLC | 31 Mar, 2026 | 18,202,800 | 402,052 | 2.26% | $1,501,549,024.00 |
| DIMENSIONAL FUND ADVISORS LP | 31 Mar, 2026 | 9,972,221 | -390,126 | -3.76% | $822,608,480.00 |
| Morgan Stanley | 31 Mar, 2026 | 7,658,493 | 174,610 | 2.33% | $631,749,437.00 |
| Goldman Sachs Group Inc | 31 Mar, 2026 | 4,630,433 | -7,201,570 | -60.87% | $381,964,436.00 |
| FMR LLC | 31 Mar, 2026 | 3,776,696 | 634,668 | 20.20% | $311,539,667.00 |
| Northern Trust Corp | 31 Mar, 2026 | 3,047,482 | 39,158 | 1.30% | $251,386,790.00 |
| Sanders Capital, LLC | 31 Mar, 2026 | 2,807,030 | -80,440 | -2.79% | $231,551,905.00 |
| BlackRock, Inc. | 31 Mar, 2026 | 2,563,845 | -83,824 | -3.17% | $211,491,558.00 |
| Bank Of America Corp /De/ | 31 Mar, 2026 | 2,385,883 | 124,201 | 5.49% | $196,811,460.00 |
| AMERICAN CENTURY COMPANIES INC | 31 Mar, 2026 | 1,667,686 | 227,442 | 15.79% | $137,567,418.00 |
| Clearbridge Investments, LLC | 31 Mar, 2026 | 1,539,807 | 96,091 | 6.66% | $127,018,655.00 |
| Royal Bank Of Canada | 31 Mar, 2026 | 1,304,192 | 192,133 | 17.28% | $107,582,000.00 |
| Connor, Clark & Lunn Investment Management Ltd. | 31 Mar, 2026 | 936,567 | 220,842 | 30.86% | $77,257,412.00 |
| O'SHAUGHNESSY ASSET MANAGEMENT, LLC | 31 Mar, 2026 | 633,809 | 43,146 | 7.30% | $52,282,905.00 |
| UBS Group AG | 31 Mar, 2026 | 608,194 | 251,362 | 70.44% | $50,169,922.00 |
| COOKSON PEIRCE & CO INC | 31 Mar, 2026 | 593,877 | -20,079 | -3.27% | $48,988,908.00 |
| CHARLES SCHWAB INVESTMENT MANAGEMENT INC | 31 Mar, 2026 | 579,607 | 94,139 | 19.39% | $47,811,781.00 |
| Raymond James Financial Inc | 31 Mar, 2026 | 551,177 | -4,536 | -0.82% | $45,409,679.00 |
| Quantinno Capital Management LP | 31 Mar, 2026 | 525,775 | 90,711 | 20.85% | $43,371,194.00 |
| RENAISSANCE TECHNOLOGIES LLC | 31 Mar, 2026 | 524,122 | 417,500 | 391.57% | $43,234,824.00 |