WELLINGTON MANAGEMENT GROUP LLP

SEC CIK
0000902219

Holdings, Q2 2026

Positions as of Jun 30, 2026, filed Aug 14, 2026.SEC

Positions
1,898
+51 vs. Q1 2026
Total value
$580.06B
+$44.66B (+8.3%) vs. Q1 2026

Compare with Q1 2026: new, added, reduced and sold out

Positions

Long positions only. Changes compare share counts with Q1 2026.

WELLINGTON MANAGEMENT GROUP LLP holdings in Q2 2026
SecurityClassSharesValue% of portfolioChange in sharesActionHistory
NVDANVIDIA CORPORATION COMStock122,084,399$24.43B4.21%−11,771,482−8.8%ReducedView
AVGOBROADCOM INC COMStock51,580,703$19.48B3.36%+1,892,721+3.8%AddedView
MSFTMICROSOFT CORP COMStock47,603,820$17.76B3.06%−5,138,347−9.7%ReducedView
AAPLAPPLE INC COMStock59,450,771$17.2B2.97%−5,582,670−8.6%ReducedView
GOOGLALPHABET INC CAP STK CL AStock44,403,614$15.87B2.74%−3,216,871−6.8%ReducedView
LLYELI LILLY & CO COMStock10,998,953$13.19B2.27%−2,428,108−18.1%ReducedView
AMZNAMAZON COM INC COMStock55,060,066$13.12B2.26%−7,343,538−11.8%ReducedView
MRKMERCK & CO INC COMStock86,249,283$11.08B1.91%+1,934,312+2.3%AddedView
MAMASTERCARD INCORPORATED CL AStock12,698,735$6.52B1.12%−302,847−2.3%ReducedView
GOOGALPHABET INC CAP STK CL CStock17,209,454$6.08B1.05%+3,432,287+24.9%AddedView
MUMICRON TECHNOLOGY INC COMStock5,045,141$5.82B1.00%+1,125,414+28.7%AddedView
JNJJOHNSON & JOHNSON COMStock22,588,696$5.74B0.99%+2,513,321+12.5%AddedView
AMDADVANCED MICRO DEVICES INC COMStock9,334,396$5.42B0.93%+2,365,419+33.9%AddedView
AZNASTRAZENECA PLC ORDADR28,537,243$5.36B0.92%+4,786,158+20.2%AddedView
KLACKLA CORPCOM NEW14,821,622$4.47B0.77%+13,381,153+928.9%AddedView
UNHUNITEDHEALTH GROUP INC COMStock10,675,175$4.44B0.76%+583,536+5.8%AddedView
BLKBLACKROCK INC COMStock4,495,074$4.32B0.75%+850,406+23.3%AddedView
TSLATESLA INC COMStock9,841,129$4.14B0.71%+690,152+7.5%AddedView
METAMETA PLATFORMS INC CL AStock7,225,624$4.07B0.70%−4,464,151−38.2%ReducedView
SRESEMPRA COMStock43,813,771$4.06B0.70%−2,321,651−5.0%ReducedView
TXNTEXAS INSTRS INC COMStock13,121,140$3.91B0.67%−345,254−2.6%ReducedView
TRGPTARGA RES CORPCOM14,176,394$3.8B0.66%−867,067−5.8%ReducedView
ELVELEVANCE HEALTH INC FORMERLY A COMStock9,213,513$3.56B0.61%+984,976+12.0%AddedView
CAHCARDINAL HEALTH INC COMStock14,860,271$3.53B0.61%+10,584,119+247.5%AddedView
CVSCVS HEALTH CORP COMStock33,801,113$3.5B0.60%+11,233,381+49.8%AddedView
WELLWELLTOWER INC COMREIT15,179,324$3.45B0.59%−1,770,752−10.4%ReducedView
VVISA INC COM CL AStock9,863,282$3.38B0.58%−375,529−3.7%ReducedView
GLWCORNING INCCOM13,174,194$3.37B0.58%+4,446,514+50.9%AddedView
WFCWELLS FARGO & CO COMStock39,422,141$3.26B0.56%−26,423,932−40.1%ReducedView
PMPHILIP MORRIS INTL INC COMStock17,506,171$3.17B0.55%+650,587+3.9%AddedView
DHRDANAHER CORP DEL COMStock16,316,834$3.11B0.54%+1,542,310+10.4%AddedView
DISDISNEY WALT CO COMStock31,986,559$3.08B0.53%+4,095,871+14.7%AddedView
TSMTAIWAN SEMICONDUCTOR MANUFACT SPONSORED ADSADR6,383,164$3.05B0.53%−1,213,999−16.0%ReducedView
UBSUBS GROUP AG SHSStock59,553,311$2.96B0.51%+9,632,654+19.3%AddedView
APHAMPHENOL CORP NEWCL A16,579,919$2.92B0.50%+1,578,248+10.5%AddedView
FLEXFLEX LTD ORDStock17,978,332$2.91B0.50%−2,259,954−11.2%ReducedView
ETNEATON CORP PLC SHSStock6,827,266$2.91B0.50%+1,120,567+19.6%AddedView
FANGDIAMONDBACK ENERGY INC COMStock16,420,247$2.89B0.50%+3,918,943+31.3%AddedView
MRSHMARSH & MCLENNAN COS INC COMStock16,975,238$2.83B0.49%−395,471−2.3%ReducedView
DDOMINION ENERGY INC COMStock40,867,860$2.79B0.48%−6,727,150−14.1%ReducedView
HDHOME DEPOT INC COMStock7,686,643$2.71B0.47%−1,950,265−20.2%ReducedView
SYKSTRYKER CORPORATION COMStock8,167,185$2.57B0.44%+45,478+0.6%AddedView
GEGE AEROSPACE COM NEWStock6,797,935$2.54B0.44%+3,352,432+97.3%AddedView
NOCNORTHROP GRUMMAN CORP COMStock4,932,780$2.51B0.43%−37,879−0.8%ReducedView
BACBANK OF AMER CORP COMStock44,077,493$2.51B0.43%−2,552,396−5.5%ReducedView
LINLINDE PLC SHSStock4,815,253$2.5B0.43%−337,270−6.5%ReducedView
WMBWILLIAMS COS INCCOM33,097,208$2.46B0.42%+10,013,946+43.4%AddedView
SNDKSANDISK CORPCOM1,066,886$2.43B0.42%+443,714+71.2%AddedView
NDAQNASDAQ INCCOM30,332,286$2.39B0.41%−5,946,692−16.4%ReducedView
KOCOCA COLA CO COMStock29,053,752$2.36B0.41%+2,439,026+9.2%AddedView
USFDUS FOODS HLDG CORPCOM23,009,877$2.35B0.41%+7,259,357+46.1%AddedView
MTBM & T BK CORPCOM9,801,881$2.33B0.40%−150,431−1.5%ReducedView
INTCINTEL CORP COMStock16,699,836$2.33B0.40%+14,244,972+580.3%AddedView
STXSEAGATE TECHNOLOGY HLDNGS PLORD SHS2,414,136$2.33B0.40%+2,326,538+2,655.9%AddedView
XOMEXXON MOBIL CORPCOM16,704,088$2.28B0.39%−5,804,786−25.8%ReducedView
AIGAMERICAN INTL GROUP INC COM NEWStock30,331,704$2.26B0.39%+1,961,270+6.9%AddedView
ADPAUTOMATIC DATA PROCESSING INC COMStock10,029,229$2.25B0.39%−75,157−0.7%ReducedView
SPGIS&P GLOBAL INC COMStock5,327,461$2.17B0.37%−735,171−12.1%ReducedView
HBANHUNTINGTON BANCSHARES INCCOM122,300,772$2.17B0.37%−7,086,361−5.5%ReducedView
DVNDEVON ENERGY CORP NEW COMStock51,522,376$2.13B0.37%+41,581,435+418.3%AddedView
CBCHUBB LIMITED COMStock6,195,189$2.11B0.36%−113,755−1.8%ReducedView
ULUNILEVER PLCSPON ADR NEW35,063,391$2.11B0.36%−4,867,052−12.2%ReducedView
SPGSIMON PPTY GROUP INC NEW COMREIT9,390,325$2.1B0.36%+242,709+2.7%AddedView
PCARPACCAR INCCOM17,050,532$2.05B0.35%−1,448,745−7.8%ReducedView
TTETOTALENERGIES SEACT26,300,651$2.05B0.35%+4,009,420+18.0%AddedView
MARMARRIOTT INTL INC NEW CL AStock5,472,154$2.03B0.35%−374,582−6.4%ReducedView
CSCOCISCO SYS INC COMStock17,163,058$2.02B0.35%−17,258,707−50.1%ReducedView
NFLXNETFLIX INC. COMStock27,972,324$2B0.34%−7,423,913−21.0%ReducedView
AWKAMERICAN WTR WKS CO INC NEW COMStock14,911,963$1.96B0.34%+3,883,057+35.2%AddedView
DEDEERE & CO COMStock3,088,628$1.96B0.34%+1,412,694+84.3%AddedView
AEPAMERICAN ELEC PWR CO INC COMStock13,872,005$1.9B0.33%+715,613+5.4%AddedView
NXPINXP SEMICONDUCTORS N VCOM6,719,522$1.89B0.33%−6,924,444−50.8%ReducedView
ASMLASML HLDG NV N Y REGISTRY SHSADR928,538$1.85B0.32%+60,211+6.9%AddedView
TJXTJX COS INC NEW COMStock12,169,208$1.84B0.32%−1,156,416−8.7%ReducedView
IBMINTERNATIONAL BUSINESS MACHS COMStock6,549,393$1.84B0.32%+6,283,395+2,362.2%AddedView
HCAHCA HEALTHCARE INCCOM4,707,473$1.84B0.32%+799,761+20.5%AddedView
CDNSCADENCE DESIGN SYSTEM INC COMStock4,880,334$1.83B0.32%−20,895−0.4%ReducedView
KDPKEURIG DR PEPPER INCCOM55,939,797$1.83B0.32%−5,801,596−9.4%ReducedView
BRK.BBERKSHIRE HATHAWAY INC DEL CL B NEWStock3,618,141$1.81B0.31%+1,972,551+119.9%AddedView
DKSDICKS SPORTING GOODS INC COMStock7,673,983$1.74B0.30%−1,137,916−12.9%ReducedView
FERGFERGUSON ENTERPRISES INCCOMMON STOCK NEW7,209,558$1.71B0.29%−1,278,763−15.1%ReducedView
HONAHONEYWELL AEROSPACE INCCOM7,716,131$1.71B0.29%+7,716,131NewView
JBLJABIL INC COMStock4,299,788$1.66B0.29%−221,359−4.9%ReducedView
VRTXVERTEX PHARMACEUTICALS INC COMStock3,247,658$1.61B0.28%+35,069+1.1%AddedView
GILDGILEAD SCIENCES INC COMStock12,699,683$1.6B0.28%−838,308−6.2%ReducedView
ATOATMOS ENERGY CORPCOM9,185,788$1.58B0.27%−465,684−4.8%ReducedView
COPCONOCOPHILLIPS COMStock15,072,154$1.57B0.27%+1,609,759+12.0%AddedView
TELTE CONNECTIVITY PLC ORD SHSStock7,709,235$1.55B0.27%+2,507,569+48.2%AddedView
EWEDWARDS LIFESCIENCES CORP COMStock16,827,967$1.52B0.26%−5,183,134−23.5%ReducedView
ISRGINTUITIVE SURGICAL INCCOM NEW3,802,003$1.51B0.26%−157,287−4.0%ReducedView
ICEINTERCONTINENTAL EXCHANGE INC COMStock11,812,273$1.45B0.25%+1,634,385+16.1%AddedView
TMUST-MOBILE US INC COMStock8,621,588$1.45B0.25%−8,578,656−49.9%ReducedView
RJFRAYMOND JAMES FINL INCCOM9,446,121$1.44B0.25%−254,055−2.6%ReducedView
ANETARISTA NETWORKS INC COM SHSStock8,440,963$1.43B0.25%+470,451+5.9%AddedView
SPOTSPOTIFY TECHNOLOGY S A SHSStock3,111,553$1.43B0.25%−208,285−6.3%ReducedView
COFCAPITAL ONE FINL CORP COMStock7,108,112$1.43B0.25%+1,887,497+36.2%AddedView
ROSTROSS STORES INCCOM6,615,682$1.41B0.24%+3,118,591+89.2%AddedView
LHXL3HARRIS TECHNOLOGIES INC COMStock4,707,086$1.37B0.24%+313,431+7.1%AddedView
SHOPSHOPIFY INC CL A SUB VTG SHSStock11,852,596$1.35B0.23%+2,782,480+30.7%AddedView
ADMARCHER DANIELS MIDLAND CO COMStock17,670,220$1.35B0.23%+382,460+2.2%AddedView

Options (23)

Put and call positions reported in the same filing. The value is that of the underlying shares, as reported on Form 13F.

WELLINGTON MANAGEMENT GROUP LLP option positions in Q2 2026
SecurityClassPutsCalls
STATE STREET SPDR S&P REGIONAL BANKING ETF78464A698ETF$29.02M–
VANECK SEMICONDUCTOR ETF92189F676ETF$21.25M–
ISHARES RUSSELL 2000 ETF464287655ETF$18.33M–
ROUNDHILL ETF TRUST77926X320MEMORY ETF$17.52M–
INVESCO QQQ TRUST SERIES I46090E103ETF$11.05M–
ISHARES TR464287234MSCI EMG MKT ETF$6.16M–
DIREXION SHS ETF TR25459W458DLY SCOND 3XBU$3.45M–
WRBYWARBY PARKER INCCL A COM–$2.3M
ISHARES TR464288513IBOXX HI YD ETF$1.6M–
RBLXROBLOX CORP CL AStock–$916.02K
QCOMQUALCOMM INC COMStock–$728.5K
VXXBARCLAYS BANK PLCIPATH S&P 500 SH$653.94K–
METAMETA PLATFORMS INC CL AStock$517.5K–
PLTRPALANTIR TECHNOLOGIES INC CL AStock$498K–
AAPLAPPLE INC COMStock–$493.92K
SPCXSPACE EXPLORATION TECHN CORPCLASS A COM STK–$488.06K
RHIROBERT HALF INC.COM–$477.87K
DKNGDRAFTKINGS INC NEW COM CL AStock–$472.22K
INTCINTEL CORP COMStock–$418.32K
CARTMAPLEBEAR INCCOM$369.3K–
HTZHERTZ GLOBAL HLDGS INCCOM NEW$321.6K–
MSFTMICROSOFT CORP COMStock–$263.7K
ISHARES TR4642874407-10 YR TRSY BD$81.94K–

Sold out since Q1 2026 (186)

Positions held at the end of Q1 2026 that are no longer in this filing.

Showing the largest 100 of 186 by value.

WELLINGTON MANAGEMENT GROUP LLP positions sold out since Q1 2026
SecurityClassShares, Q1 2026Value, Q1 2026% of portfolio, Q1 2026
HONHoneywell TechnologiesCOM16,635,316$3.76B0.70%
COTERRA ENERGY INC COM127097103Stock53,570,213$1.88B0.35%
ASNDASCENDIS PHARMA A/SSPONSORED ADR1,757,633$402.02M0.08%
AVTRAVANTOR INCCOM24,224,156$189.92M0.04%
CCLCARNIVAL CORPUNIT 99/99/99997,271,041$188.17M0.04%
SHAKSHAKE SHACK INCCL A1,718,733$152.06M0.03%
SOLENO THERAPEUTICS INC834203309COM4,426,781$148.21M0.03%
INVESCO EXCHANGE TRADED FD T46137V357S&P500 EQL WGT622,406$119.45M0.02%
REGREGENCY CTRS CORPCOM1,445,754$109.39M0.02%
BAHBOOZ ALLEN HAMILTON HLDG CORCL A1,370,919$106.97M0.02%
KBRKBR INCCOM1,995,640$73.56M0.01%
DRSLEONARDO DRS INC COMStock1,498,542$66.72M0.01%
WSBCWESBANCO INCCOM1,738,101$59.95M0.01%
ANFABERCROMBIE & FITCH COCL A620,969$56.74M0.01%
FLUSHING FINL CORP343873105COM3,236,964$49.72M0.01%
TGBTASEKO MINES LTDCOM7,465,762$48.15M0.01%
AMERICAN WTR CAP CORP03040WBE4NOTE 3.625% 6/1–$47.51M0.01%
VANECK ETF TRUST92189F106GOLD MINERS ETF505,228$46.36M0.01%
TBBKBANCORP INC DELCOM763,404$41.02M0.01%
BMRNBIOMARIN PHARMACEUTICAL INCCOM716,523$40.48M0.01%
IRTINDEPENDENCE RLTY TR INCCOM2,453,499$36.53M0.01%
MGRCMCGRATH RENTCORPCOM319,194$35.2M0.01%
MSGSMADISON SQUARE GRDN SPRT CORCL A108,418$34.85M0.01%
CXTCRANE NXT COCOM814,164$33.05M0.01%
BRCBRADY CORPCL A356,367$28.95M0.01%
RRBIRED RIVER BANCSHARES INCCOM259,102$23.43M0.00%
MEDPMEDPACE HLDGS INCCOM48,222$23.16M0.00%
CLEARWATER ANALYTICS HLDGS I185123106CL A946,703$22.39M0.00%
ERICTELEFONAKTIEBOLAGET LM ERICSADR B SEK 101,983,261$22.35M0.00%
SMPLSIMPLY GOOD FOODS COCOM1,522,041$21.84M0.00%
FIRST FNDTN INC32026V104COM3,442,315$20.31M0.00%
TERNS PHARMACEUTICALS INC880881107COM375,505$19.8M0.00%
GNLGLOBAL NET LEASE INCCOM NEW2,057,955$19.26M0.00%
YMMFULL TRUCK ALLIANCE CO LTDSPONSORED ADS2,311,532$19.19M0.00%
DRHDIAMONDROCK HOSPITALITY COCOM2,008,219$18.82M0.00%
ACIWACI WORLDWIDE INC COMStock457,160$18.75M0.00%
VGVENTURE GLOBAL INCCOM CL A1,146,202$18.06M0.00%
AIR LEASE CORP00912X302CL A266,735$17.32M0.00%
KLARKLARNA GROUP PLC SHSStock1,268,190$16.6M0.00%
PLGOPELAGOS INS CAP LTDCOM865,771$16.54M0.00%
CELHCELSIUS HLDGS INCCOM NEW459,233$16.29M0.00%
TOPBUILD COR COM89055F103Stock46,278$16.26M0.00%
BMRCBANK OF MARIN BANCORPCOM632,000$16.2M0.00%
FBPFIRST BANCORP CORPORATIONCOM NEW750,281$16.03M0.00%
TOWNEBANK PORTSMOUTH VA89214P109COM455,109$15.32M0.00%
AVBCAVIDIA BANCORP INCCOMMON STOCK778,436$15.31M0.00%
NBBKNB BANCORP INCCOM710,000$14.96M0.00%
TRSTRIMAS CORPCOM NEW403,924$14.52M0.00%
LBRTLIBERTY ENERGY INCCOM CL A497,523$14.33M0.00%
NICNICOLET BANKSHARES INCCOM94,723$14.08M0.00%
AMKRAMKOR TECHNOLOGY INCCOM309,134$13.92M0.00%
LNNLINDSAY CORPCOM115,040$13.7M0.00%
BRBRBELLRING BRANDS INC COMMON STOCKStock850,823$13.69M0.00%
ELFE L F BEAUTY INCCOM203,302$12.32M0.00%
CAKECHEESECAKE FACTORY INCCOM225,000$12.32M0.00%
ALGALAMO GROUP INCCOM73,161$12.07M0.00%
CZWICITIZENS CMNTY BANCORP INC MCOM593,996$11.76M0.00%
SAPSAP SE SPON ADRADR68,431$11.72M0.00%
VALVALARIS LTDCL A116,007$11.37M0.00%
SIGSIGNET JEWELERS LIMITEDSHS131,945$11.17M0.00%
HAEHAEMONETICS CORP MASSCOM196,712$11.09M0.00%
BATRKATLANTA BRAVES HLDGS INCCOM SER C256,846$10.97M0.00%
PIIMPINJ INCCOM105,398$10.82M0.00%
OXMOXFORD INDS INCCOM276,227$10.64M0.00%
SLABSILICON LABORATORIES INC COMStock49,717$10.35M0.00%
ETSYETSY INCNOTE 0.125% 9/0–$10.3M0.00%
APELLIS PHARMACEUTICALS INC03753U106COM249,635$10.04M0.00%
WHRWHIRLPOOL CORP COMStock180,744$9.75M0.00%
UPWKUPWORK INCCOM871,228$9.55M0.00%
HLNEHAMILTON LANE INCCL A93,559$9.3M0.00%
CXWCORECIVIC INCCOM483,128$9.14M0.00%
PAYPPAYPAY CORPSPONSORED ADS421,235$8.99M0.00%
HIWHIGHWOODS PPTYS INCCOM392,397$8.4M0.00%
CBZCBIZ INCCOM310,838$8.35M0.00%
SLGNSILGAN HLDGS INCCOM202,707$7.87M0.00%
FORMFORMFACTOR INCCOM80,333$7.79M0.00%
NSITINSIGHT ENTERPRISES INCCOM107,842$7.23M0.00%
ORRFORRSTOWN FINL SVCS INCCOM200,000$7.22M0.00%
SAICSCIENCE APPLICATIONS INTL COCOM75,010$7.12M0.00%
MFAMFA FINL INCCOM720,459$6.9M0.00%
ISTRINVESTAR HOLDING CORPCOM250,797$6.84M0.00%
VMRKEQUITY RESIDENTIALSH BEN INT115,103$6.81M0.00%
LZBLA Z BOY INCCOM210,849$6.78M0.00%
NRDSNERDWALLET INCCOM CL A612,227$6.35M0.00%
PLPLANET LABS PBCCOM CL A226,708$6.34M0.00%
CONCONCENTRA GROUP HOLDINGS PARCOMMON STOCK272,035$5.84M0.00%
ALRSALERUS FINL CORPCOM242,021$5.74M0.00%
JAZZ INVESTMENTS I LTD472145AF8NOTE 2.000% 6/1–$5.47M0.00%
FROFRONTLINE PLCCOM150,527$5.25M0.00%
EMBCEMBECTA CORP COMMON STOCKStock570,935$5.05M0.00%
ODDODDITY TECH LTDSHS CL A361,178$4.83M0.00%
DDDUPONT DE NEMOURS INCCOM93,079$4.26M0.00%
GBTGGLOBAL BUSINESS TRAVEL GROUPCOM CL A739,303$4.13M0.00%
RHRHCOM29,006$4.06M0.00%
PEBOPEOPLES BANCORP INCCOM118,927$3.91M0.00%
HOLOGIC INC436440101COM49,836$3.77M0.00%
SEZLSEZZLE INCCOM51,660$3.27M0.00%
FBINFORTUNE BRANDS INNOVATIONS ICOM83,296$3.25M0.00%
SPRBSPRUCE BIOSCIENCES INCCOM NEW48,796$3.19M0.00%
HURNHURON CONSULTING GROUP INC COMStock23,767$3.03M0.00%

13F filings by quarter

WELLINGTON MANAGEMENT GROUP LLP 13F filings by quarter
QuarterFiledPositionsTotal valueChangesFiling
Q2 2026Aug 14, 20261,898$580.06Bvs. Q1 2026SEC
Q1 2026May 15, 20261,847$535.4Bvs. Q4 2025SEC
Q4 2025Feb 17, 20261,874$570.6Bvs. Q3 2025SEC
Q3 2025Nov 14, 20251,918$571.19Bvs. Q2 2025SEC
Q2 2025Aug 14, 20251,903$550.93Bvs. Q1 2025SEC
Q1 2025May 13, 20251,917$519.85Bvs. Q4 2024SEC
Q4 2024Mar 24, 2025Amended1,899$546.1Bvs. Q3 2024SECSEC
Q3 2024Nov 14, 20241,888$570.93Bvs. Q2 2024SEC
Q2 2024Aug 14, 20241,866$560.15Bvs. Q1 2024SEC
Q1 2024May 15, 20241,875$564.43Bvs. Q4 2023SEC
Q4 2023Mar 5, 2024Amended1,812$536.37Bvs. Q3 2023SECSEC
Q3 2023Dec 1, 2023Amended1,798$499.52Bvs. Q2 2023SECSEC
Q2 2023Aug 14, 20231,795$527.49Bvs. Q1 2023SEC
Q1 2023May 12, 20231,982$504.61Bvs. Q4 2022SEC
Q4 2022Feb 13, 20231,978$498.7Bvs. Q3 2022SEC
Q3 2022Nov 14, 20222,019$469.49Bvs. Q2 2022SEC
Q2 2022Aug 15, 20222,056$496.55Bvs. Q1 2022SEC
Q1 2022May 16, 20222,101$583.99Bvs. Q4 2021SEC
Q4 2021Feb 11, 20222,167$625.28Bvs. Q3 2021SEC
Q3 2021Nov 15, 20212,139$587.95Bvs. Q2 2021SEC
Q2 2021Aug 16, 20212,120$600.78Bvs. Q1 2021SEC
Q1 2021May 17, 20212,081$567.83B–SEC