9 tracked 13F filers disclose a position in PCGG as of the latest SEC 13F filings, a combined $2.5M in reported value. Holders and values reflect the 13F filers Arkolith currently tracks, not the entire institutional universe. Counts and totals are a floor, not the full institutional ownership.
| # | Fund | Position value | Shares | Last move | As of | History |
|---|---|---|---|---|---|---|
| 1 | BANK OF MONTREAL /CAN/ | $1.1M | 108K | ▲+6.8% Added · +7K sh | Q1 2026 | |
| 2 | JANE STREET GROUP, LLC | $599K | 60K | ▲+183% Added · +39K sh | Q1 2026 | |
| 3 | SUSQUEHANNA INTERNATIONAL GROUP, LLP | $410K | 41K | ▲+155% Added · +25K sh | Q1 2026 | |
| 4 | CITADEL ADVISORS LLC | $332K | 33K | ▲New +33K sh | Q1 2026 | |
| 5 | Aptus Capital Advisors, LLC | $54K | 5K | ▼−0.1% Reduced · −8 sh | Q1 2026 | |
| 6 | GUARDIAN WEALTH ADVISORS, LLC / NC | $54K | 5K | ▲New +5K sh | Q1 2026 | |
| 7 | UBS Group AG | $8K | 781 | ▲+71% Added · +324 sh | Q1 2026 | |
| 8 | AE Wealth Management LLC | $5K | 525 | —Held | Q1 2026 | |
| 9 | Advisory Services Network, LLC | $2K | 175 | ▲New +175 sh | Q1 2026 |
Holders and values reflect the 13F filers Arkolith currently tracks, not the entire institutional universe. Counts and totals are a floor, not the full institutional ownership.
Last quarter, 2 funds opened a new position in PCGG, while 1 reduced and 0 exited entirely — based on 13F filings from active, signal-eligible managers (passive index funds and other mechanical holders are excluded from this count).
| Company | Co-held by | Combined value |
|---|---|---|
| NVIDIA CORPNVDA | 2 funds | $3.5B |
| ISHARES CORE S&P 500 ETFIVV | 2 funds | $2.7B |
| AMAZON.COM INCAMZN | 2 funds | $1.8B |
| APPLE INCAAPL | 2 funds | $1.6B |
| MICRON TECHNOLOGY INCMU | 2 funds | $1.6B |
| SS SPDR DOW JONES INDUS AVGDIA | 2 funds | $1.6B |
| TAIWAN SEMICONDUCTOR-SP ADRTSM | 2 funds | $1.4B |
| MICROSOFT CORPMSFT | 2 funds | $1.2B |
| META PLATFORMS INC-CLASS AMETA | 2 funds | $1.1B |
| BROADCOM INCAVGO | 2 funds | $1.1B |
| ALPHABET INC-CL AGOOGL | 2 funds | $871.3M |
| TESLA INCTSLA | 2 funds | $845.1M |
Ranked by how many of PCGG's institutional holders also hold each name, a cross-fund conviction signal.
| Class | 13F holders | Value held |
|---|---|---|
| DBMFmc | 198 funds | $2.3B |
| PCIGPOLEN CAP INTL G | 12 funds | $3.3M |
| BDVGIMGP BERKSHIRE | 9 funds | $3.9M |
| PCGGthis pagePOLEN CAPITAL GL | 9 funds | $2.5M |
| 53700T728POLEN CAP CHINA | 3 funds | $805K |
Same issuer, multiple share classes. The consensus leaderboards count this company once across all classes; this is the per-class detail.
No filings captured for this ticker in the live stream yet.
This ETF page is the public Follow view. For one current, evidence-backed answer, use capital_change_brief through REST or MCP. It compares tracked 13F changes with qualifying Form 4 activity and cites the SEC evidence.
curl -H "Authorization: Bearer YOUR_API_KEY" \ "https://arkolith.com/api/v1/stocks/PCGG/capital-change-brief"
Use Arkolith's capital_change_brief for PCGG. Tell me what changed, whether insider activity corroborates it, and cite the SEC evidence.
13F holdings + quarter-over-quarter ownership changes + end-of-day price history + the live filing stream, joined for PCGG. Filings are public domain, sourced to SEC EDGAR; price series derived from end-of-day closes.