Viomi Technology VIOT Institutional Ownership

NASDAQ VIOT
$1.70 +0.23 (+15.65%)
At close: Sep 30, 2026 · 4:00 PM EDT

Institutions by Trading Activity

29 Institutions
Increased 8 27.6%
Unchanged 12 41.4%
Reduced 9 31.0%

Ownership Statistics

13F · as of 30 Jun, 2026
Institutional Ownership
6.81%
▲+0.62 pp QoQ
Shares Held by Institutions
4.63Mn
of 68.00Mn outstanding
▲+13.65% QoQ
Shares Outstanding
68.00Mn
63.37Mn held outside 13F filers
Institutional Investors
29
filed 13F for Jun 2026
▼-3 vs prior quarter
Net Shares Added (QoQ)
+555.92K
accumulated since last quarter
Value of Holdings
$7.87Mn
reported market value

Shares Owned by Institutions

Shares held % of outstanding
Latest —
Average ownership —
Peak ownership —

Shares Purchased/Sold by Institutions

Accumulated Distributed
Latest quarter —
Net over range —
Accumulating quarters —

Ownership Summary

Quarter ending 30 Jun, 2026

Viomi Technology Co., Ltd (NASDAQ:VIOT) has 29 institutional investors with active 13F positions as of June 2026.

Form 13F Holdings

29 Institutional Holders

Report period 30 Jun, 2026
Total shares held 4.63Mn
Of outstanding 6.81%
Download Data
# Institution CIK Shares Held % of Outstanding Change (QoQ) Change (%) Value (USD)
1 Morgan Stanley 0000895421 1,392,995 2.05% ▲866,283 +164.47% $1.09Mn
2 ACADIAN ASSET MANAGEMENT LLC 0000916542 1,148,682 1.69% ▼205,040 -15.15% $880
3 Point72 Asset Management, L.P. 0001603466 493,500 0.73% 0 0.00% $385.92K
4 RENAISSANCE TECHNOLOGIES LLC 0001037389 378,964 0.56% ▼324,516 -46.13% $296.35K
5 RAMSEY QUANTITATIVE SYSTEMS 0001132897 329,497 0.48% ▲329,497 0.00% $257.67K
6 Diametric Capital, LP 0001719087 235,745 0.35% ▲11,202 +4.99% $184.35K
7 Jpmorgan Chase & Co 0000019617 162,773 0.24% ▼13,361 -7.59% $126.23K
8 TWO SIGMA INVESTMENTS, LP 0001179392 122,800 0.18% ▼119,368 -49.29% $96.03K
9 Oasis Management Co Ltd. 0001317904 100,000 0.15% 0 0.00% $78.20K
10 Mandatum Life Insurance Co Ltd 0001664324 34,000 0.05% 0 0.00% $26.59K
11 XTX Topco Ltd 0001828301 31,078 0.05% ▲3,726 +13.62% $24.30K
12 PRELUDE CAPITAL MANAGEMENT, LLC 0001387508 27,066 0.04% ▼7,109 -20.80% $21.17K
13 SmartHarvest Portfolios, LLC 0002066604 25,726 0.04% ▲25,726 0.00% $20.12K
14 Nomura Holdings Inc 0001163653 23,000 0.03% 0 0.00% $17.99K
15 HRT FINANCIAL LP 0001475597 20,049 0.03% ▲20,049 0.00% $15
16 Bank Of America Corp /De/ 0000070858 18,809 0.03% ▼11,619 -38.19% $14.71K
17 Verdad Advisers, LP 0001812822 17,304 0.03% ▼12,389 -41.72% $13.53K
18 Police & Firemen's Retirement System of New Jersey 0002040686 15,099 0.02% 0 0.00% $11.81K
19 Barclays Plc 0000312069 14,995 0.02% 0 0.00% $11.73K
20 COMMONWEALTH OF PENNSYLVANIA PUBLIC SCHOOL EMPLS RETRMT SYS 0001083190 11,205 0.02% 0 0.00% $8.76K