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S&P Global

2,052 hedge funds and large institutions have $127B invested in S&P Global in 2025 Q3 according to their latest regulatory filings, with 154 funds opening new positions, 786 increasing their positions, 765 reducing their positions, and 130 closing their positions.

New
Increased
Maintained
Reduced
Closed

28% more call options, than puts

Call options by funds: $919M | Put options by funds: $716M

18% more first-time investments, than exits

New positions opened: 154 | Existing positions closed: 130

3% more repeat investments, than reductions

Existing positions increased: 786 | Existing positions reduced: 765

0% less funds holding

Funds holding: 2,0622,052 (-10)

1.4% less ownership

Funds ownership: 87.52%86.13% (-1.4%)

6% less funds holding in top 10

Funds holding in top 10: 8075 (-5)

11% less capital invested

Capital invested by funds: $142B → $127B (-$15.4B)

Holders
2,052
Holders Change
-10
Holders Change %
-0.48%
% of All Funds
26.93%
Holding in Top 10
75
Holding in Top 10 Change
-5
Holding in Top 10 Change %
-6.25%
% of All Funds
0.98%
New
154
Increased
786
Reduced
765
Closed
130
Calls
$919M
Puts
$716M
Net Calls
+$202M
Net Calls Change
-$40.5M
Name Holding Trade Value Shares
Change
Change in
Stake
Fisher Asset Management
726
Fisher Asset Management
Washington
$4.19M +$1.45M +2,713 +46%
TBA
727
Tower Bridge Advisors
Pennsylvania
$4.19M -$21.4K -40 -0.5%
BAM
728
Bell Asset Management
Australia
$4.19M -$199K -372 -4%
WFG
729
Wills Financial Group
Virginia
$4.18M -$3.21K -6 -0.1%
QCG
730
Quadrant Capital Group
Ohio
$4.17M +$60.5K +113 +1%
SAM
731
Shell Asset Management
Netherlands
$4.14M -$12.1M -22,645 -73%
MSA
732
MUFG Securities Americas
New York
$4.1M +$787K +1,470 +21%
NCM
733
Nearwater Capital Markets
Ireland
$4.09M +$4.5M +8,400 New
DI
734
Diligent Investors
California
$4.02M
GWMR
735
GC Wealth Management RIA
Massachusetts
$3.96M +$2.98M +5,562 +215%
SC
736
Scholtz & Company
Connecticut
$3.96M -$52.5K -98 -1%
HKAM
737
Horizon Kinetics Asset Management
New York
$3.95M -$1.11M -2,074 -20%
PIWA
738
Prevail Innovative Wealth Advisors
Kansas
$3.94M +$452K +845 +12%
PWP
739
Private Wealth Partners
California
$3.94M -$6.96K -13 -0.2%
KRSITF
740
Kentucky Retirement Systems Insurance Trust Fund
Kentucky
$3.93M -$232K -433 -5%
SCM
741
Stevens Capital Management
Pennsylvania
$3.92M +$4.31M +8,052 New
KFBMI
742
Kentucky Farm Bureau Mutual Insurance
Kentucky
$3.89M
CCM
743
Corsair Capital Management
New York
$3.89M -$165K -309 -4%
WHAM
744
Windmill Hill Asset Management
United Kingdom
$3.88M
TRCT
745
Tower Research Capital (TRC)
New York
$3.87M +$667K +1,246 +19%
AWA
746
Arkadios Wealth Advisors
Georgia
$3.86M +$1.52M +2,847 +56%
MCB
747
Morton Community Bank
Illinois
$3.85M +$153K +285 +4%
TAMH
748
Taikang Asset Management (HK)
Hong Kong
$3.84M -$2M -3,744 -32%
DLCIG
749
D.L. Carlson Investment Group
New Hampshire
$3.81M +$4.19M +7,826 New
OCM
750
Olstein Capital Management
New York
$3.8M +$1.29M +2,400 +44%

SPGI Hedge Fund Activity: Q3 2025 in Review

2,052 of the 7,620 institutional investors tracked by Wall St. Rank reported a position in S&P Global (SPGI) for Q3 2025, worth a combined $127B — down 11% from $142B a quarter earlier.

Buyers outnumbered sellers: 154 funds opened new SPGI positions and 130 closed out — a net gain of 24 holders — while 786 added to existing stakes and 765 trimmed.

The largest buyer was Lombard Odier Asset Management (Europe), adding an estimated $1.31B. The largest seller was Broadwater Capital, cutting an estimated $992M.

  • 2,052 institutional investors held S&P Global (SPGI) as of Q3 2025, down from 2,062 in Q2 2025.
  • Funds reported $127B of S&P Global stock for Q3 2025, down 11% quarter-over-quarter.
  • 154 funds opened new S&P Global positions in Q3 2025 and 130 closed out, a net change of +24 holders.
  • The largest S&P Global buyer in Q3 2025 was Lombard Odier Asset Management (Europe), an estimated $1.31B added.
  • The largest S&P Global seller in Q3 2025 was Broadwater Capital, an estimated $992M sold.

Based on aggregated 13F filings for Q3 2025.