Advertisement
Screener

Vanguard Investments Australia, Ltd. Historic Quarter Change: USA Stocks, New

Vanguard Investments Australia, Ltd. historic quarter change: USA Stocks, New

In share positions in stocks (listed in the US), over 1 quarter from 2026-03-31 to 2026-06-30, Vanguard Investments Australia, Ltd. opened 94 positions, added to 915, reduced 271 and sold out of 65.

  • Q2 2026: Stock RTX; Country of operation United States; Class COM; Shares before 0.
  • Q2 2026: Stock PWR; Country of operation United States; Class COM; Shares before 0.
  • Q2 2026: Stock FTNT; Country of operation United States; Class COM; Shares before 0.
  • Q2 2026: Stock TRV; Country of operation United States; Class COM; Shares before 0.

Each consecutive pair of Form 13F-HR filings compared (SEC CIK 1550100), 1 quarter: Q2 2026 (2026-03-31 to 2026-06-30, filed 2026-08-13). Rows for the same security, class and put/call are added together. Value change is the filed value at each quarter end, so it includes the price move. Only the filings held here are compared; the firm's 13F-HR filings go back to the quarter ended 2026-03-31.

QuarterStockCountry of operationClassShares beforeShares afterShare changeValue beforeValue afterValue changeFiled
Q2 2026RTX
RTX CORPORATION
United StatesCOM0607,646+607,646$0$115,288,676+$115,288,6762026-08-13
Q2 2026PWR
QUANTA SVCS INC
United StatesCOM071,814+71,814$0$51,708,953+$51,708,9532026-08-13
Q2 2026FTNT
FORTINET INC
United StatesCOM0321,632+321,632$0$49,409,108+$49,409,1082026-08-13
Q2 2026TRV
TRAVELERS COMPANIES INC
United StatesCOM0108,492+108,492$0$35,815,379+$35,815,3792026-08-13
Q2 2026HON
HONEYWELL INTL INC
United StatesCOM0143,405+143,405$0$32,108,380+$32,108,3802026-08-13
Q2 2026HONA
HONEYWELL AEROSPACE INC
United StatesCOM0143,532+143,532$0$31,732,055+$31,732,0552026-08-13
Q2 2026TGT
TARGET CORP
United StatesCOM0230,920+230,920$0$30,160,461+$30,160,4612026-08-13
Q2 2026COR
CENCORA INC
United StatesCOM094,267+94,267$0$26,675,676+$26,675,6762026-08-13
Q2 2026EW
EDWARDS LIFESCIENCES CORP
United StatesCOM0294,049+294,049$0$26,599,673+$26,599,6732026-08-13
Q2 2026CCL
CARNIVAL CORP LTD
United StatesCOMMON SHARES0653,566+653,566$0$18,672,381+$18,672,3812026-08-13
Q2 2026VRSN
VERISIGN INC
United StatesCOM042,252+42,252$0$10,628,913+$10,628,9132026-08-13
Q2 2026DD
DUPONT DE NEMOURS INC
United StatesCOMMON STOCK069,709+69,709$0$9,455,329+$9,455,3292026-08-13
Q2 2026FDXF
FEDEX FGHT HLDG CO INC
United StatesCOMMON STOCK054,137+54,137$0$8,174,687+$8,174,6872026-08-13
Q2 2026MDLN
MEDLINE INC
United StatesCOM CL A0174,641+174,641$0$6,887,841+$6,887,8412026-08-13
Q2 2026SN
SHARKNINJA INC
United StatesCOM SHS037,647+37,647$0$5,732,509+$5,732,5092026-08-13
Q2 2026EPRT
ESSENTIAL PPTYS RLTY TR INC
United StatesCOM0189,736+189,736$0$5,663,620+$5,663,6202026-08-13
Q2 2026TRI
THOMSON REUTERS CORP
CanadaCOM067,515+67,515$0$5,514,490+$5,514,4902026-08-13
Q2 2026CRCL
CIRCLE INTERNET GROUP INC
United StatesCOM CL A071,377+71,377$0$4,470,342+$4,470,3422026-08-13
Q2 2026NXT
NEXTPOWER INC
United StatesCLASS A COM036,789+36,789$0$4,383,041+$4,383,0412026-08-13
Q2 2026WSE
WISE GROUP PLC
ORD SHS CLASS A0336,342+336,342$0$4,031,732+$4,031,7322026-08-13
Q2 2026GL
GLOBE LIFE INC
United StatesCOM020,399+20,399$0$3,644,893+$3,644,8932026-08-13
Q2 2026BNL
BROADSTONE NET LEASE INC
United StatesCOM0172,078+172,078$0$3,556,852+$3,556,8522026-08-13
Q2 2026EQH
EQUITABLE HLDGS INC
United StatesCOM080,930+80,930$0$3,551,208+$3,551,2082026-08-13
Q2 2026SPXC
SPX TECHNOLOGIES INC
United StatesCOM012,672+12,672$0$3,106,794+$3,106,7942026-08-13
Q2 2026FSV
FIRSTSERVICE CORP NEW
COM020,958+20,958$0$2,980,144+$2,980,1442026-08-13
Q2 2026AGX
ARGAN INC
United StatesCOM03,419+3,419$0$2,730,242+$2,730,2422026-08-13
Q2 2026SSB
SOUTHSTATE BK CORP
United StatesCOM025,449+25,449$0$2,542,355+$2,542,3552026-08-13
Q2 2026FPS
FORGENT POWER SOLUTIONS INC
United StatesCOM SHS CL A036,379+36,379$0$2,032,131+$2,032,1312026-08-13
Q2 2026PTGX
PROTAGONIST THERAPEUTICS INC
United StatesCOM012,655+12,655$0$1,551,250+$1,551,2502026-08-13
Q2 2026OGC
OCEANAGOLD CORP
CanadaCOM NEW057,257+57,257$0$1,435,204+$1,435,2042026-08-13
Q2 2026CNO
CNO FINL GROUP INC
United StatesCOM024,317+24,317$0$1,239,681+$1,239,6812026-08-13
Q2 2026RNST
RENASANT CORP
United StatesCOM024,599+24,599$0$1,046,441+$1,046,4412026-08-13
Q2 2026VGNT
VERSIGENT PLC
ORDINARY SHARES020,581+20,581$0$864,608+$864,6082026-08-13
Q2 2026KEEL
KEEL INFRASTRUCTURE CORP
COM SHS0148,991+148,991$0$853,028+$853,0282026-08-13
Q2 2026NIC
NICOLET BANKSHARES INC
United StatesCOM05,044+5,044$0$834,227+$834,2272026-08-13
Q2 2026AEO
AMERICAN EAGLE OUTFITTERS IN
United StatesCOM041,321+41,321$0$710,721+$710,7212026-08-13
Q2 2026SLS
SELLAS LIFE SCIENCES GROUP I
United StatesCOM NEW046,385+46,385$0$684,643+$684,6432026-08-13
Q2 2026ELVN
ENLIVEN THERAPEUTICS INC
United StatesCOM012,592+12,592$0$639,044+$639,0442026-08-13
Q2 2026CHYM
CHIME FINL INC
United StatesCOM SHS CL A031,165+31,165$0$638,259+$638,2592026-08-13
Q2 2026AYA
AYA GOLD & SILVER INC
COM032,407+32,407$0$613,756+$613,7562026-08-13
Q2 2026TGB
TREKOR METALS LTD
COM085,561+85,561$0$590,029+$590,0292026-08-13
Q2 2026PGNY
PROGYNY INC
United StatesCOM019,328+19,328$0$557,226+$557,2262026-08-13
Q2 2026SA
SEABRIDGE GOLD INC
COM021,408+21,408$0$552,455+$552,4552026-08-13
Q2 2026NG
NOVAGOLD RESOURCES INC
COM NEW091,051+91,051$0$544,394+$544,3942026-08-13
Q2 2026HCI
HCI GROUP INC
United StatesCOM02,901+2,901$0$508,400+$508,4002026-08-13
Q2 2026MANE
VERADERMICS INC
United StatesCOMMON STOCK03,908+3,908$0$480,450+$480,4502026-08-13
Q2 2026NESR
NATIONAL ENERGY SERVICES REU
United StatesSHS015,986+15,986$0$478,461+$478,4612026-08-13
Q2 2026IMAX
IMAX CORP
COM010,881+10,881$0$433,717+$433,7172026-08-13
Q2 2026AIP
ARTERIS INC
United StatesCOM08,321+8,321$0$404,317+$404,3172026-08-13
Q2 2026BW
BABCOCK & WILCOX ENTERPRISES
United StatesCOM028,247+28,247$0$398,283+$398,2832026-08-13
Q2 2026TFIN
TRIUMPH FINANCIAL INC
United StatesCOM05,154+5,154$0$393,302+$393,3022026-08-13
Q2 2026LWLG
LIGHTWAVE LOGIC INC
United StatesCOM038,688+38,688$0$365,988+$365,9882026-08-13
Q2 2026AUGO
AURA MINERALS INC
British Virgin IslandsSHS NEW05,749+5,749$0$361,900+$361,9002026-08-13
Q2 2026PNTG
PENNANT GROUP INC
United StatesCOM09,316+9,316$0$344,226+$344,2262026-08-13
Q2 2026SBH
SALLY BEAUTY HLDGS INC
United StatesCOM024,248+24,248$0$342,867+$342,8672026-08-13
Q2 2026WOLF
WOLFSPEED INC
United StatesCOMMON STOCK06,906+6,906$0$333,215+$333,2152026-08-13
Q2 2026LINC
LINCOLN EDL SVCS CORP
United StatesCOM06,475+6,475$0$323,103+$323,1032026-08-13
Q2 2026XERS
XERIS BIOPHARMA HOLDINGS INC
United StatesCOM040,202+40,202$0$318,400+$318,4002026-08-13
Q2 2026KLAR
KLARNA GROUP PLC
United KingdomSHS015,122+15,122$0$306,069+$306,0692026-08-13
Q2 2026GHM
GRAHAM CORP
United StatesCOM02,375+2,375$0$294,001+$294,0012026-08-13
Q2 2026FIGR
FIGURE TECHNOLOGY SOLUTIO
COM CL A08,438+8,438$0$259,131+$259,1312026-08-13
Q2 2026GPRE
GREEN PLAINS INC
United StatesCOM016,205+16,205$0$249,233+$249,2332026-08-13
Q2 2026VYX
NCR VOYIX CORPORATION
United StatesCOM030,408+30,408$0$248,433+$248,4332026-08-13
Q2 2026CRVS
CORVUS PHARMACEUTICALS INC
United StatesCOM016,192+16,192$0$241,908+$241,9082026-08-13
Q2 2026BETA
BETA TECHNOLOGIES INC
United StatesCOM SHS CL A013,754+13,754$0$230,380+$230,3802026-08-13
Q2 2026MGTX
MEIRAGTX HLDGS PLC
United StatesCOM015,536+15,536$0$209,891+$209,8912026-08-13
Q2 2026AMRC
AMERESCO INC
United StatesCL A07,392+7,392$0$204,019+$204,0192026-08-13
Q2 2026PTRN
PATTERN GROUP INC
United StatesCOM SER A07,879+7,879$0$198,472+$198,4722026-08-13
Q2 2026MWH
SOLV ENERGY INC
United StatesCOM SHS CL A05,419+5,419$0$184,517+$184,5172026-08-13
Q2 2026EQPT
EQUIPMENTSHARE COM INC
United StatesCOM CL A09,320+9,320$0$183,231+$183,2312026-08-13
Q2 2026APEI
AMERICAN PUB ED INC
United StatesCOM03,389+3,389$0$181,989+$181,9892026-08-13
Q2 2026FLOC
FLOWCO HLDGS INC
United StatesCOM CL A08,263+8,263$0$176,332+$176,3322026-08-13
Q2 2026MAZE
MAZE THERAPEUTICS INC
United StatesCOM05,848+5,848$0$174,504+$174,5042026-08-13
Q2 2026VIA
VIA TRANSN INC
United StatesCOM CL A09,589+9,589$0$173,944+$173,9442026-08-13
Q2 2026JBIO
JADE BIOSCIENCES INC
United StatesCOM NEW07,827+7,827$0$173,916+$173,9162026-08-13
Q2 2026TBN
TAMBORAN RES CORP
AustraliaCOM05,196+5,196$0$168,922+$168,9222026-08-13
Q2 2026INFQ
INFLEQTION INC
United StatesCOM SHS012,629+12,629$0$168,218+$168,2182026-08-13
Q2 2026GLIBK
LIBERTY CAP CORP
United StatesSER C GCI GROUP07,708+7,708$0$166,184+$166,1842026-08-13
Q2 2026LBRX
LB PHARMACEUTICALS INC
United StatesCOM SHS05,105+5,105$0$165,683+$165,6832026-08-13
Q2 2026OMER
OMEROS CORP
United StatesCOM017,295+17,295$0$164,475+$164,4752026-08-13
Q2 2026CARS
CARS COM INC
United StatesCOM014,808+14,808$0$162,000+$162,0002026-08-13
Q2 2026TDUP
THREDUP INC
United StatesCL A022,540+22,540$0$154,399+$154,3992026-08-13
Q2 2026SION
SIONNA THERAPEUTICS INC
United StatesCOM03,490+3,490$0$153,525+$153,5252026-08-13
Q2 2026GIC
GLOBAL INDUSTRIAL COMPANY
United StatesCOM04,542+4,542$0$151,975+$151,9752026-08-13
Q2 2026HSLV
HIGHLANDER SILVER CORP
CanadaCOM030,324+30,324$0$142,399+$142,3992026-08-13
Q2 2026KODK
EASTMAN KODAK CO
United StatesCOM NEW015,298+15,298$0$141,507+$141,5072026-08-13
Q2 2026LXU
LSB INDS INC
United StatesCOM012,731+12,731$0$137,622+$137,6222026-08-13
Q2 2026DOLE
DOLE PLC
ORD SHS09,948+9,948$0$136,487+$136,4872026-08-13
Q2 2026TRAX
FIRST TRACKS BIOTHERAPEUTICS
United StatesORD SHS06,350+6,350$0$127,762+$127,7622026-08-13
Q2 2026SATL
SATELLOGIC INC
COM CL A021,336+21,336$0$122,042+$122,0422026-08-13
Q2 2026NEWP
NEW PAC METALS CORP
COM029,135+29,135$0$117,711+$117,7112026-08-13
Q2 2026NMAX
NEWSMAX INC
United StatesCOM SHS CLASS B012,537+12,537$0$103,806+$103,8062026-08-13
Q2 2026VMET
VERSAMET ROYALTIES CORP
COM NEW07,840+7,840$0$96,241+$96,2412026-08-13
Q2 2026WOOF
PETCO HEALTH & WELLNESS CO I
United StatesCL A COM027,946+27,946$0$76,013+$76,0132026-08-13

Similar Firms

Firm NameCountry13F ValueHoldings
PARNASSUS INVESTMENTS, LLCUnited States$34.147B135
KAYNE ANDERSON RUDNICK INVESTMENT MANAGEMENT LLCUnited States$34.047B1,193
Asset Management One Co., Ltd.Japan$33.911B911
Chevy Chase Trust Holdings, LLCUnited States$34.708B1,154
Daiwa Securities Group Inc.Japan$34.783B1,642
STOREBRAND ASSET MANAGEMENT ASNorway$34.792B773
TD Waterhouse Canada Inc.Canada$33.708B2,307
BLAIR WILLIAM & CO/ILUnited States$34.896B1,922
Mastercard Foundation Asset Management CorpCanada$33.657B3
PFA Pension, ForsikringsaktieselskabDenmark$33.244B381