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Name Holding Trade Value Shares
Change
Change in
Stake
Vanguard Group
1
Vanguard Group
Pennsylvania
$18B -$194M -3,823,540 -1%
Capital Research Global Investors
2
Capital Research Global Investors
California
$16.3B -$329M -6,493,230 -2%
BlackRock
3
BlackRock
New York
$15.5B -$147M -2,906,350 -1%
Fidelity Investments
4
Fidelity Investments
Massachusetts
$10.7B -$389M -7,680,960 -4%
T. Rowe Price Associates
5
T. Rowe Price Associates
Maryland
$10.5B -$350M -6,901,720 -3%
State Street
6
State Street
Massachusetts
$8.68B -$224M -4,416,050 -3%
Capital International Investors
7
Capital International Investors
California
$8.59B -$159M -3,134,480 -2%
Capital World Investors
8
Capital World Investors
California
$7.41B +$25.1M +494,480 +0.4%
Jennison Associates
9
Jennison Associates
New York
$4.4B +$13M +256,590 +0.3%
Baillie Gifford & Co
10
Baillie Gifford & Co
United Kingdom
$4.39B +$360M +7,104,740 +10%
Geode Capital Management
11
Geode Capital Management
Massachusetts
$3.58B +$30.9M +609,130 +0.9%
JP Morgan Chase
12
JP Morgan Chase
New York
$2.85B -$143M -2,823,980 -5%
MAM
13
Magellan Asset Management
Australia
$2.67B +$830M +16,368,530 +49%
Sands Capital Management
14
Sands Capital Management
Virginia
$2.61B -$140M -2,768,260 -5%
Northern Trust
15
Northern Trust
Illinois
$2.56B -$60.9M -1,201,800 -2%
Norges Bank
16
Norges Bank
Norway
$2.46B +$116M +2,296,000 +5%
Fisher Asset Management
17
Fisher Asset Management
Washington
$2B +$84.3M +1,662,070 +5%
Morgan Stanley
18
Morgan Stanley
New York
$1.9B +$259M +5,107,790 +17%
Bank of New York Mellon
19
Bank of New York Mellon
New York
$1.84B -$141M -2,781,560 -8%
Janus Henderson Group
20
Janus Henderson Group
$1.8B -$118M -2,320,330 -7%
Edgewood Management
21
Edgewood Management
Connecticut
$1.63B -$37.2M -734,470 -2%
Nuveen
22
Nuveen
North Carolina
$1.51B -$56.7M -1,117,880 -4%
LPC
23
Lone Pine Capital
Connecticut
$1.33B +$102M +2,008,970 +9%
SIM
24
SRS Investment Management
New York
$1.32B -$162M -3,188,080 -12%
Legal & General Group
25
Legal & General Group
United Kingdom
$1.32B -$13.9M -274,420 -1%