Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q2
$201M Sell
12,219,293
-2,125,027
-15% -$38M 0.07% 390
2026
Q1
$240M Buy
14,344,320
+8,292,510
+137% +$156M 0.11% 251
2025
Q4
$109M Buy
6,051,810
+2,644,329
+78% +$42.9M 0.06% 441
2025
Q3
$49.1M Buy
3,407,481
+2,149,403
+171% +$28.9M 0.03% 608
2025
Q2
$14.8M Sell
1,258,078
-3,886,708
-76% -$48.2M 0.01% 863
2025
Q1
$77.8M Buy
5,144,786
+4,648,974
+938% +$103M 0.08% 339
2024
Q4
$10.6M Buy
495,812
+438,535
+766% +$8.93M 0.01% 817
2024
Q3
$1.13M Sell
57,277
-62,860
-52% -$1.05M ﹤0.01% 1775
2024
Q2
$1.61M Sell
120,137
-659,345
-85% -$8.65M ﹤0.01% 1552
2024
Q1
$11.9M Buy
779,482
+676,441
+656% +$10.9M 0.02% 662
2023
Q4
$1.94M Sell
103,041
-256,598
-71% -$4.4M ﹤0.01% 1362
2023
Q3
$6.26M Buy
359,639
+63,176
+21% +$1.2M 0.01% 826
2023
Q2
$5.66M Sell
296,463
-168,650
-36% -$3.46M 0.01% 855
2023
Q1
$10.3M Buy
465,113
+400,937
+625% +$10.5M 0.02% 651
2022
Q4
$1.75M Buy
+64,176
New +$1.89M ﹤0.01% 1313
2022
Q3
Sell
-7,390
Closed -$321K 2329
2022
Q2
$321K Buy
+7,390
New +$371K ﹤0.01% 1842
2021
Q3
Sell
-33,155
Closed -$2.69M 2337
2021
Q2
$2.69M Buy
33,155
+22,817
+221% +$1.9M ﹤0.01% 1065
2021
Q1
$826K Buy
+10,338
New +$839K ﹤0.01% 1637
2020
Q3
Sell
-144,318
Closed -$8.56M 2275
2020
Q2
$8.56M Sell
144,318
-370,089
-72% -$21.6M 0.01% 666
2020
Q1
$27.8M Sell
514,407
-309,720
-38% -$24.1M 0.05% 409
2019
Q4
$82.1M Buy
824,127
+144,425
+21% +$12.9M 0.09% 273
2019
Q3
$60.5M Buy
679,702
+152,662
+29% +$13M 0.07% 338
2019
Q2
$46M Sell
527,040
-139,703
-21% -$12M 0.05% 410
2019
Q1
$54.6M Sell
666,743
-170,427
-20% -$13.3M 0.06% 372
2018
Q4
$56.2M Sell
837,170
-204,557
-20% -$15.6M 0.07% 316
2018
Q3
$91.7M Buy
1,041,727
+304,604
+41% +$26M 0.09% 245
2018
Q2
$57.2M Buy
737,123
+186,200
+34% +$14M 0.06% 373
2018
Q1
$38.7M Buy
550,923
+213,377
+63% +$15.4M 0.04% 438
2017
Q4
$23.5M Buy
337,546
+174,648
+107% +$11.5M 0.02% 571
2017
Q3
$9.75M Sell
162,898
-2,909
-2% -$168K 0.01% 785
2017
Q2
$8.99M Buy
165,807
+13,587
+9% +$701K 0.01% 804
2017
Q1
$7.88M Sell
152,220
-2,108
-1% -$104K 0.01% 843
2016
Q4
$7.75M Buy
154,328
+41,155
+36% +$2.13M 0.01% 844
2016
Q3
$5.97M Sell
113,173
-26,475
-19% -$1.53M 0.01% 934
2016
Q2
$8.09M Sell
139,648
-126,843
-48% -$7.5M 0.01% 772
2016
Q1
$16.3M Sell
266,491
-430,606
-62% -$25M 0.03% 588
2015
Q4
$40.9M Sell
697,097
-1,157,092
-62% -$72.2M 0.07% 353
2015
Q3
$119M Buy
1,854,189
+420,222
+29% +$28.8M 0.24% 105
2015
Q2
$94.2M Buy
1,433,967
+746,770
+109% +$50.5M 0.19% 154
2015
Q1
$48.7M Buy
687,197
+464,200
+208% +$32.1M 0.11% 227
2014
Q4
$15.7M Buy
222,997
+84,302
+61% +$5.58M 0.03% 530
2014
Q3
$8.62M Sell
138,695
-18,160
-12% -$1.09M 0.02% 635
2014
Q2
$9.3M Sell
156,855
-62,340
-28% -$3.62M 0.03% 657
2014
Q1
$12.8M Buy
219,195
+113,501
+107% +$6.39M 0.04% 512
2013
Q4
$6.2M Buy
105,694
+8,508
+9% +$443K 0.02% 784
2013
Q3
$4.55M Sell
97,186
-2,918
-3% -$135K 0.02% 847
2013
Q2
$4.55M Buy
+100,104
New +$4.25M 0.02% 905

Other funds holding VFC

Cliff Asness's VFC Position: Q2 2026 in Review

Cliff Asness reduced its VF Corp (VFC) stake by 15% in Q2 2026, selling an estimated $38M and leaving 12,219,293 shares worth $201M. The position accounts for 0.07% of the portfolio, ranked #390.

Cliff Asness first reported a position in VFC in Q2 2013 and has held it in 47 quarters since. The position peaked at $240M in Q1 2026. 548 funds tracked by Wall St. Rank hold VFC as of Q2 2026.

  • Cliff Asness held 12,219,293 shares of VF Corp worth $201M as of Q2 2026.
  • Cliff Asness sold 2,125,027 VF Corp shares in Q2 2026, an estimated $38M.
  • VF Corp made up 0.07% of Cliff Asness's portfolio in Q2 2026, its #390 holding.
  • Cliff Asness first reported a position in VF Corp in Q2 2013 and has held it in 47 quarters since.
  • Cliff Asness's VF Corp position peaked at $240M in Q1 2026.
  • 548 funds tracked by Wall St. Rank held VF Corp as of Q2 2026.

Based on AQR Capital Management's 13F filing for Q2 2026, filed 14 Aug 2026.