What Voloridge Investment Management LLC changed, 2013 to 2026
51 quarterly 13F filings, from Q4 2013 to Q2 2026, each read from the filing itself. A quarter is compared only with the quarter before it, so a quarter with no filing is a gap in the record, not a sale.
Reported book
$23.5bn
$524m at Q4 2013
Positions
784
92 at Q4 2013
Top ten weight
12%
37% at Q4 2013
Typical quarterly turnover
about 45%
Estimated from share changes
- Q4 2013: $524m
- Q1 2014: $703m
- Q2 2014: $1.0bn
- Q3 2014: $2.1bn
- Q4 2014: $1.7bn
- Q1 2015: $2.1bn
- Q2 2015: $2.0bn
- Q3 2015: $2.1bn
- Q4 2015: $1.4bn
- Q1 2016: $4.3bn
- Q2 2016: $3.5bn
- Q3 2016: $4.6bn
- Q4 2016: $4.7bn
- Q1 2017: $4.1bn
- Q2 2017: $4.0bn
- Q3 2017: $4.5bn
- Q4 2017: $4.6bn
- Q1 2018: $4.2bn
- Q2 2018: $3.7bn
- Q3 2018: $4.6bn
- Q4 2018: $2.2bn
- Q1 2019: $3.3bn
- Q2 2019: $3.6bn
- Q3 2019: $5.8bn
- Q4 2019: $5.1bn
- Q1 2020: $3.5bn
- Q2 2020: $8.7bn
- Q3 2020: $12.0bn
- Q4 2020: $11.9bn
- Q1 2021: $13.7bn
- Q2 2021: $14.4bn
- Q3 2021: $15.5bn
- Q4 2021: $18.3bn
- Q1 2022: $17.6bn
- Q2 2022: $19.3bn
- Q3 2022: $18.5bn
- Q4 2022: $17.9bn
- Q1 2023: $20.1bn
- Q2 2023: $21.2bn
- Q3 2023: $20.3bn
- Q4 2023: $25.4bn
- Q1 2024: $27.4bn
- Q2 2024: $26.9bn
- Q3 2024: $27.5bn
- Q4 2024: $28.3bn
- Q1 2025: $27.0bn
- Q2 2025: $27.1bn
- Q3 2025: $29.8bn
- Q4 2025: $28.5bn
- Q1 2026: $25.0bn
- Q2 2026: $23.5bn
- Q4 2013: 37%
- Q1 2014: 54%
- Q2 2014: 63%
- Q3 2014: 76%
- Q4 2014: 61%
- Q1 2015: 25%
- Q2 2015: 29%
- Q3 2015: 27%
- Q4 2015: 32%
- Q1 2016: 42%
- Q2 2016: 23%
- Q3 2016: 62%
- Q4 2016: 18%
- Q1 2017: 23%
- Q2 2017: 23%
- Q3 2017: 33%
- Q4 2017: 29%
- Q1 2018: 41%
- Q2 2018: 30%
- Q3 2018: 27%
- Q4 2018: 24%
- Q1 2019: 23%
- Q2 2019: 29%
- Q3 2019: 29%
- Q4 2019: 18%
- Q1 2020: 17%
- Q2 2020: 19%
- Q3 2020: 16%
- Q4 2020: 17%
- Q1 2021: 12%
- Q2 2021: 10%
- Q3 2021: 9%
- Q4 2021: 9%
- Q1 2022: 11%
- Q2 2022: 7%
- Q3 2022: 10%
- Q4 2022: 9%
- Q1 2023: 9%
- Q2 2023: 9%
- Q3 2023: 9%
- Q4 2023: 11%
- Q1 2024: 11%
- Q2 2024: 8%
- Q3 2024: 9%
- Q4 2024: 9%
- Q1 2025: 9%
- Q2 2025: 13%
- Q3 2025: 13%
- Q4 2025: 13%
- Q1 2026: 11%
- Q2 2026: 12%
The positions that defined it
Every position that was ever among the 25 largest: when it first appeared, when it was largest, and where it stands in Q2 2026. The line is its reported value each quarter.
| Position | Value over time | First listed | Largest | Q2 2026 |
|---|---|---|---|---|
| Amazon Com Inc(AMZN) | Q4 2013 | $408mQ2 2026 | $408m | |
| Nvidia Corp(NVDA) | Q1 2014 | $561mQ2 2025 | $332m | |
| Palantir Technologies Inc(PLTR)Class A | Q3 2022 | $360mQ3 2025 | $318m | |
| Alphabet Inc(GOOG)Capital Stock Class C | Q4 2015 | $311mQ2 2026 | $311m | |
| Bank Amer Corp(BAC) | Q1 2016 | $305mQ2 2026 | $305m | |
| Yandex N V(NBIS)Shares Class A | Q2 2016 | $296mQ2 2026 | $296m | |
| Pepsico Inc(PEP) | Q4 2014 | $292mQ2 2026 | $292m | |
| Marsh & Mclennan Cos Inc(MRSH) | Q4 2014 | $318mQ4 2025 | $222m | |
| Intuit(INTU) | Q1 2014 | $329mQ2 2025 | $209m | |
| Texas Instrs Inc(TXN) | Q4 2014 | $204mQ2 2026 | $204m | |
| Chevron Corp New(CVX) | Q4 2013 | $202mQ2 2026 | $202m | |
| Microsoft Corp(MSFT) | Q3 2014 | $927mQ3 2025 | $191m | |
| Spdr S&P 500 Etf Trust(SPY) | Q1 2014 | $2.2bnQ3 2016 | Soldlast listed Q4 2021 | |
| Apple Inc(AAPL) | Q4 2016 | $522mQ4 2023 | Soldlast listed Q1 2026 | |
| Netflix Inc(NFLX) | Q4 2013 | $518mQ4 2025 | Soldlast listed Q1 2026 | |
| Booking HLDGS Inc(BKNG) | Q1 2018 | $406mQ4 2024 | Soldlast listed Q1 2026 | |
| iShares Core S&P500 ETF(IVV) | Q3 2024 | $401mQ3 2024 | Soldlast listed Q1 2025 | |
| Autozone Inc(AZO) | Q2 2015 | $355mQ1 2024 | Soldlast listed Q2 2025 | |
| Broadcom Inc(AVGO) | Q1 2019 | $337mQ3 2025 | Soldlast listed Q1 2026 | |
| Amerisourcebergen Corp(COR) | Q4 2014 | $314mQ1 2025 | Soldlast listed Q3 2025 |
Quarter by quarter
Q3 2021: $15.5bn across 1,609 positions
Against Q2 2021: 416 new, 612 added to, 580 trimmed, 388 sold out, across all 1,609 positions.
Turnover about 42% of the book, estimated from share changes at quarter-end prices.
Largest additions
- Cummins Inc (CMI)+$88m
- Micron Technology Inc (MU)+$88m
- Alphabet Inc (GOOG)+$86m
- Intel Corp (INTC)+$85m
- Chipotle Mexican Grill Inc (CMG)+$82m
- Canadian Pac Ry LTD+$81m
- Norfolk Southern Corp (NSC)+$81m
- Upstart HLDGS Inc (UPST)+$75m
Largest reductions
- Apple Inc (AAPL)-$227m
- Procter & Gamble Co (PG)-$140m
- NIKE Inc (NKE)-$111m
- Thermo Fisher Scientific Inc (TMO)-$99m
- Roku Inc (ROKU)-$94m
- Amazon Com Inc (AMZN)-$92m
- Sherwin Williams Co (SHW)-$76m
- Mercadolibre Inc (MELI)-$75m
Opened
- Affirm HLDGS Inc (AFRM)$102m
- Chevron Corp New (CVX)$81m
- Berkshire Hathaway Inc Del (BRK-B)$79m
Sold out
- Coca Cola Co (KO)was $127m
- Baidu Inc (BIDU)was $104m
- Futu HLDGS LTD (FUTU)was $82m
- Pinduoduo Inc (PDD)was $68m
- Shopify Inc (SHOP)was $65m
- Pepsico Inc (PEP)was $58m
- JD Com Inc (JD)was $57m
- CVS Health Corp (CVS)was $55m
Largest positions, Q3 2021
The largest 25 of 1,609 reported positions; the largest 500 carry 81.4% of the reported value.
| Position | Value | Weight | On the quarter |
|---|---|---|---|
| Verizon Communications Inc (VZ) | $246m | 1.6% | Added |
| Microsoft Corp (MSFT) | $164m | 1.1% | Trimmed |
| Alphabet Inc (GOOG) | $148m | 1.0% | Added |
| Micron Technology Inc (MU) | $127m | 0.8% | Added |
| Intel Corp (INTC) | $124m | 0.8% | Added |
| Alphabet Inc (GOOGL) | $110m | 0.7% | Added |
| Affirm HLDGS Inc (AFRM) | $102m | 0.7% | New |
| Canadian Pac Ry LTD | $101m | 0.7% | Added |
| Lam Research Corp | $101m | 0.7% | Added |
| Bill Com HLDGS Inc (BILL) | $100m | 0.6% | Added |
| Vertex Pharmaceuticals Inc (VRTX) | $97m | 0.6% | Added |
| Norfolk Southern Corp (NSC) | $94m | 0.6% | Added |
| Cummins Inc (CMI) | $90m | 0.6% | Added |
| Abbott Labs (ABT) | $90m | 0.6% | Added |
| Docusign Inc (DOCU) | $90m | 0.6% | Added |
| Anthem Inc (ELV) | $89m | 0.6% | Added |
| Chipotle Mexican Grill Inc (CMG) | $83m | 0.5% | Added |
| Chevron Corp New (CVX) | $81m | 0.5% | New |
| Freeport-mcmoran Copper & Go (FCX) | $81m | 0.5% | Added |
| Upstart HLDGS Inc (UPST) | $79m | 0.5% | Added |
| Berkshire Hathaway Inc Del (BRK-B) | $79m | 0.5% | New |
| Fortinet Inc (FTNT) | $79m | 0.5% | Added |
| Zillow Group Inc (Z) | $79m | 0.5% | Added |
| Union Pac Corp (UNP) | $77m | 0.5% | Added |
| Boston Beer Inc (SAM) | $74m | 0.5% | Added |
The books most like this one
Among the managers whose filings are on file, at Q2 2026. Overlap is the share of the two books that is the same: for every stock both list, the smaller of its two weights, added up. Two books can overlap because both own the largest companies; it says nothing about whether the managers agree.
| Manager | Overlap | Stocks in both | Overlap over time | |
|---|---|---|---|---|
| Man Group PLC | at least 31% | 192 | Compare | |
| AQR Capital Management LLC | at least 31% | 215 | Compare | |
| Acadian Asset Management LLC | at least 30% | 182 | Compare | |
| Quantbot Technologies LP | at least 29% | 213 | Compare | |
| Two Sigma Investments LP | at least 29% | 196 | Compare | |
| Arrowstreet Capital LP | at least 28% | 187 | Compare | |
| Invesco Ltd | at least 27% | 201 | Compare | |
| Wellington Management Group LLP | at least 27% | 170 | Compare |
“At least” where either manager has more positions than are read each quarter: a stock both hold below that range is not counted.
The filings behind it
Every quarter above is one 13F holdings report, with any amendment the filer made to it applied in the order it was filed. Where the reporting entity changed, each quarter keeps the filer that actually reported it.
| Quarter | Filer | Book | Amended | Filing |
|---|---|---|---|---|
| Q2 2026 | Voloridge Investment Management LLC | $23.5bn | 13F-HR | |
| Q1 2026 | Voloridge Investment Management LLC | $25.0bn | 13F-HR | |
| Q4 2025 | Voloridge Investment Management LLC | $28.5bn | 13F-HR | |
| Q3 2025 | Voloridge Investment Management LLC | $29.8bn | 13F-HR | |
| Q2 2025 | Voloridge Investment Management LLC | $27.1bn | 13F-HR | |
| Q1 2025 | Voloridge Investment Management LLC | $27.0bn | 13F-HR | |
| Q4 2024 | Voloridge Investment Management LLC | $28.3bn | 13F-HR | |
| Q3 2024 | Voloridge Investment Management LLC | $27.5bn | 13F-HR | |
| Q2 2024 | Voloridge Investment Management LLC | $26.9bn | 13F-HR | |
| Q1 2024 | Voloridge Investment Management LLC | $27.4bn | 13F-HR | |
| Q4 2023 | Voloridge Investment Management LLC | $25.4bn | 13F-HR | |
| Q3 2023 | Voloridge Investment Management LLC | $20.3bn | 13F-HR | |
| Q2 2023 | Voloridge Investment Management LLC | $21.2bn | 13F-HR | |
| Q1 2023 | Voloridge Investment Management LLC | $20.1bn | 13F-HR | |
| Q4 2022 | Voloridge Investment Management LLC | $17.9bn | 13F-HR | |
| Q3 2022 | Voloridge Investment Management LLC | $18.5bn | 13F-HR | |
| Q2 2022 | Voloridge Investment Management LLC | $19.3bn | 13F-HR | |
| Q1 2022 | Voloridge Investment Management LLC | $17.6bn | 13F-HR | |
| Q4 2021 | Voloridge Investment Management LLC | $18.3bn | 13F-HR | |
| Q3 2021 | Voloridge Investment Management LLC | $15.5bn | 13F-HR | |
| Q2 2021 | Voloridge Investment Management LLC | $14.4bn | 13F-HR | |
| Q1 2021 | Voloridge Investment Management LLC | $13.7bn | 13F-HR | |
| Q4 2020 | Voloridge Investment Management LLC | $11.9bn | 13F-HR | |
| Q3 2020 | Voloridge Investment Management LLC | $12.0bn | 13F-HR | |
| Q2 2020 | Voloridge Investment Management LLC | $8.7bn | 13F-HR | |
| Q1 2020 | Voloridge Investment Management LLC | $3.5bn | 13F-HR | |
| Q4 2019 | Voloridge Investment Management LLC | $5.1bn | 13F-HR | |
| Q3 2019 | Voloridge Investment Management LLC | $5.8bn | 13F-HR | |
| Q2 2019 | Voloridge Investment Management LLC | $3.6bn | 13F-HR | |
| Q1 2019 | Voloridge Investment Management LLC | $3.3bn | 13F-HR | |
| Q4 2018 | Voloridge Investment Management LLC | $2.2bn | 13F-HR | |
| Q3 2018 | Voloridge Investment Management LLC | $4.6bn | 13F-HR | |
| Q2 2018 | Voloridge Investment Management LLC | $3.7bn | 13F-HR | |
| Q1 2018 | Voloridge Investment Management LLC | $4.2bn | 13F-HR | |
| Q4 2017 | Voloridge Investment Management LLC | $4.6bn | 13F-HR | |
| Q3 2017 | Voloridge Investment Management LLC | $4.5bn | 13F-HR | |
| Q2 2017 | Voloridge Investment Management LLC | $4.0bn | 13F-HR | |
| Q1 2017 | Voloridge Investment Management LLC | $4.1bn | 13F-HR | |
| Q4 2016 | Voloridge Investment Management LLC | $4.7bn | 13F-HR | |
| Q3 2016 | Voloridge Investment Management LLC | $4.6bn | 13F-HR | |
| Q2 2016 | Voloridge Investment Management LLC | $3.5bn | 13F-HR | |
| Q1 2016 | Voloridge Investment Management LLC | $4.3bn | 13F-HR | |
| Q4 2015 | Voloridge Investment Management LLC | $1.4bn | 13F-HR | |
| Q3 2015 | Voloridge Investment Management LLC | $2.1bn | 13F-HR | |
| Q2 2015 | Voloridge Investment Management LLC | $2.0bn | 13F-HR | |
| Q1 2015 | Voloridge Investment Management LLC | $2.1bn | 13F-HR | |
| Q4 2014 | Voloridge Investment Management LLC | $1.7bn | 13F-HR | |
| Q3 2014 | Voloridge Investment Management LLC | $2.1bn | 13F-HR | |
| Q2 2014 | Voloridge Investment Management LLC | $1.0bn | 13F-HR | |
| Q1 2014 | Voloridge Investment Management LLC | $703m | 13F-HR | |
| Q4 2013 | Voloridge Investment Management LLC | $524m | 13F-HR |
Reading this record
A 13F lists US-listed long equity and options at the quarter end, filed up to 45 days later. It shows what was held, not when it was bought or at what price, and nothing short. Where a quarter lists only the largest positions, a name missing from it may still be held below that range; the counts of what was opened and sold always cover the whole filing.
Company names, tickers and logos are the trademarks of their respective owners and appear here to identify the company whose public figures are being used. L3VLUP is not affiliated with, sponsored by or endorsed by any company shown, and nothing here is a statement by or about that company. More