VTEX · Application · G9470A102
VTEX
Q1 2025 · compared with Q4 2024
- Tracked value
- $64.0M
- Tracked filers
- 37
Quarter history
Tracked value counts one filer from each family. Net bought is the share change from the previous quarter. History follows the CUSIP on the latest information table, and it starts when that filer’s CIK exists, so a renamed issuer or a new CIK is shorter than ten years.
- Q2 202646 filers · $4$68.9M−$7.4M
- Q1 202653 filers · $4$75.5M+$6.3M
- Q4 202551 filers · $4$64.9M+$4.7M
- Q3 202548 filers · $4$70.9M−$8.4M
- Q2 202550 filers · $7$115M+$24.7M
- Q1 202537 filers · $5$64.0MFlat
- Q4 202435 filers · $6$65.8M+$8.0M
- Q3 202435 filers · $7$74.6M+$4.7M
- Q2 202433 filers · $7$68.1M−$6.0M
- Q1 202432 filers · $8$82.4M+$21.2M
- Q4 202329 filers · $7$48.2M−$551K
- Q3 202324 filers · $5$35.6M+$5.9M
- Q2 202322 filers · $5$28.2M+$5.4M
- Q1 202326 filers · $4$17.2M+$4.5M
- Q4 202224 filers · $4$12.2M−$25.3M
- Q3 202224 filers · $4$37.3M−$21.1M
- Q2 202229 filers · $3$52.2M−$8.4M
- Q1 202230 filers · $6$111M−$91.5M
- Q4 202122 filers · $11$285M−$16.1M
- Q3 202126 filers · $21$563M+$563M
Who owns it
- Artisan Partners Limited PartnershipGeneralist · 0.1% of their software1,469,175 shares$7.4MFlat
- NuveenPassive · 0.0% of their software1,383,869 shares$7.0M—
- Millennium ManagementGeneralist · 0.1% of their software1,313,690 shares$6.7M−$7.6M
- State StreetPassive · 0.0% of their software1,290,818 shares$6.5M+$794K
- Marshall WaceGeneralist · 0.1% of their software962,612 shares$4.9M+$2.7M
- BlackRockPassive · 0.0% of their software844,614 shares$4.3MFlat
- Renaissance TechnologiesGeneralist · 0.0% of their software813,300 shares$4.1MFlat
- Susquehanna International GroupGeneralist · 0.1% of their software750,292 shares$3.8MNew · +$4.4M
- Russell Investments GroupGeneralist · 0.0% of their software406,678 shares$2.1MFlat
- Citadel AdvisorsGeneralist · 0.0% of their software395,238 shares$2.0M+$2.0M
- Two Sigma InvestmentsGeneralist · 0.0% of their software361,436 shares$1.8MFlat
- Sei Investments COGeneralist · 0.0% of their software280,193 shares$1.7MFlat
- Bank of AmericaGeneralist · 0.0% of their software320,459 shares$1.6M+$1.4M
- Aberdeen GroupGeneralist · 0.0% of their software265,513 shares$1.3MNew · +$1.6M
- Goldman SachsGeneralist · 0.0% of their software220,758 shares$1.1MFlat
- Jane Street GroupGeneralist · 0.0% of their software187,146 shares$949K+$1.0M
- Morgan StanleyGeneralist · 0.0% of their software160,986 shares$816KFlat
- UBS GroupGeneralist · 0.0% of their software154,862 shares$785K−$3.7M
- New York State Common Retirement FundGeneralist · 0.0% of their software147,410 shares$747KFlat
- Squarepoint OpsGeneralist · 0.0% of their software133,733 shares$678KNew · +$788K
- Northern TrustPassive · 0.0% of their software133,427 shares$676KFlat
- Lazard Asset ManagementGeneralist · 0.0% of their software128,723 shares$652KFlat
- Raymond James FinancialGeneralist · 0.0% of their software90,088 shares$457KFlat
- JPMorgan ChaseGeneralist · 0.0% of their software45,118 shares$229K−$1.5M
- Boston PartnersGeneralist · 0.0% of their software43,661 shares$221KFlat
- Bnp Paribas Financial MarketsGeneralist · 0.0% of their software42,180 shares$214KFlat
- American Century CompaniesGeneralist · 0.0% of their software37,869 shares$192K−$509K
- Mirae Asset Global Etfs HoldingsGeneralist · 0.0% of their software36,822 shares$187KFlat
- Qube Research & TechnologiesGeneralist · 0.0% of their software34,914 shares$177KFlat
- Envestnet Asset ManagementGeneralist · 0.0% of their software33,987 shares$172KFlat
- Neuberger Berman GroupGeneralist · 0.0% of their software22,131 shares$112KFlat
- Van Eck AssociatesGeneralist · 0.0% of their software20,857 shares$106KFlat
- CitigroupGeneralist · 0.0% of their software19,756 shares$100KFlat
- Balyasny Asset ManagementGeneralist · 0.0% of their software15,645 shares$79KNew
- Legal & GeneralPassive · 0.0% of their software13,143 shares$67KFlat
- Royal Bank of CanadaGeneralist · 0.0% of their software2,397 shares$12KFlat
- FidelityGeneralist · 0.0% of their software9 shares$46New
