SPT Sprout Social, Inc.

NASDAQ
$10.02

Sprout Social, Inc. (SPT) Institutional Ownership

What the institutions did with SPT last quarter, from their 13F filings. Counting managers rather than shares is the point: a single index fund adding to a position tells you far less than four hundred separate managers all deciding to. Positions as reported for the quarter ended June 30, 2026.

Managers reporting
245
filed a 13F this quarter
Managers holding
190
-15 on the quarter
Buyers
113
40 opened new
Sellers
111
55 sold out entirely
Buyer share
50.5%
of managers who traded it
Breadth
+0.9
net buyers, as a share of those trading

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Largest holders

Manager Shares % of reported
BlackRock, Inc. 8.8M 16.7%
VANGUARD PORTFOLIO MANAGEMENT LLC 4.3M 8.2%
Ancient Art, L.P. 2.5M 4.8%
VANGUARD CAPITAL MANAGEMENT LLC 2.3M 4.4%
Haveli Investment Management LLC 2.2M 4.1%
ACADIAN ASSET MANAGEMENT LLC 2.1M 4.1%
TWO SIGMA INVESTMENTS, LP 2.0M 3.7%
STATE STREET CORP 1.6M 3.1%
AQR CAPITAL MANAGEMENT LLC 1.4M 2.8%
GEODE CAPITAL MANAGEMENT, LLC 1.4M 2.6%
ARROWSTREET CAPITAL, LIMITED PARTNERSHIP 1.4M 2.6%
MORGAN STANLEY 1.3M 2.5%
CastleKnight Management LP 1.1M 2.1%
Invenomic Capital Management LP 1.1M 2.1%
KNIGHTSBRIDGE ASSET MANAGEMENT, LLC 1.0M 2.0%
FMR LLC 1.0M 2.0%
GOLDMAN SACHS GROUP INC 1.0M 1.9%
CITADEL ADVISORS LLC 715.4K 1.4%
Creative Planning 652.1K 1.2%
RENAISSANCE TECHNOLOGIES LLC 627.4K 1.2%
NANO CAP NEW MILLENNIUM GROWTH FUND L P 615.0K 1.2%
CHARLES SCHWAB INVESTMENT MANAGEMENT INC 605.0K 1.2%
Clearbridge Investments, LLC 590.1K 1.1%
Topline Capital Management, LLC 501.8K 1.0%
LB Partners LLC 479.7K 0.9%

Largest changes

Manager Action Previous Current Change
BlackRock, Inc. Increased 5.4M 8.8M +3.4M
Topline Capital Management, LLC Reduced 2.7M 501.8K -2.2M
Haveli Investment Management LLC New 0 2.2M +2.2M
CastleKnight Management LP New 0 1.1M +1.1M
LB Partners LLC Reduced 1.5M 479.7K -1.0M
AQR CAPITAL MANAGEMENT LLC Increased 440.1K 1.4M +1.0M
ARROWSTREET CAPITAL, LIMITED PARTNERSHIP Increased 442.5K 1.4M +920.6K
Qube Research & Technologies Ltd Sold Out 782.0K 0 -782.0K
Clearbridge Investments, LLC Reduced 1.3M 590.1K -699.4K
CITADEL ADVISORS LLC Increased 94.4K 715.4K +621.0K
Portolan Capital Management, LLC Sold Out 558.4K 0 -558.4K
CANADA PENSION PLAN INVESTMENT BOARD Reduced 516.2K 52.0K -464.2K
FMR LLC Increased 586.1K 1.0M +442.9K
Nuveen, LLC Reduced 666.9K 274.1K -392.9K
VANGUARD PORTFOLIO MANAGEMENT LLC Increased 3.9M 4.3M +388.4K
Y-Intercept (Hong Kong) Ltd Reduced 626.8K 253.8K -373.0K
Creative Planning Increased 305.2K 652.1K +346.9K
MILLENNIUM MANAGEMENT LLC Sold Out 258.0K 0 -258.0K
Quantinno Capital Management LP Increased 89.1K 325.0K +235.9K
ArrowMark Colorado Holdings LLC Reduced 611.8K 379.8K -232.0K
ExodusPoint Capital Management, LP New 0 225.6K +225.6K
TWO SIGMA INVESTMENTS, LP Increased 1.8M 2.0M +193.4K
GOLDMAN SACHS GROUP INC Reduced 1.2M 1.0M -186.0K
Potrero Capital Research LLC Reduced 556.6K 377.1K -179.5K
Balyasny Asset Management L.P. New 0 172.7K +172.7K

13F filings are due 45 days after quarter end and cover long positions in U.S.-listed equities only, so this is a lagged and partial picture: shorts, bonds and foreign listings never appear. Options positions are excluded here rather than folded into the share counts. Political ownership is coming.