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Data sourced from public SEC filings.

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Visa Inc.

V

46 institutional investors and hedge funds own V, holding 94,822,325 shares worth $32.5B (latest 13F filings).

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Who owns Visa Inc. stock?

Institutional holders of V — largest position first.

Super Fund
Position
Shares
Curr. Value
Port. %
Activity
TCI Fund ManagementEquity
30,494,133
$10,462,232,091
19.83%
+0.09%
Viking Global InvestorsEquity
6,393,604
$2,193,581,596
6.25%
+1.03%
Ninety One UKEquity
6,095,626
$2,091,347,859
4.68%
-0.27%
Dodge & CoxEquity
5,417,326
$1,858,630,377
0.97%
+630554.95%
Sanders CapitalEquity
4,796,303
$1,645,563,596
1.65%
-1.34%
Egerton CapitalEquity
4,264,651
$1,463,159,112
14.13%
+3.74%
Soroban Capital PartnersEquity
3,289,580
$1,128,622,002
7.97%
+11.09%
Pershing Square Capital ManagementEquity
3,270,470
$1,122,065,552
5.76%
+100%
Sands Capital ManagementEquity
2,377,099
$815,558,896
3.03%
-14.20%
ValueAct HoldingsEquity
2,316,250
$794,682,213
14.10%
0%
FundsmithEquity
2,019,810
$692,976,613
5.08%
-34.93%
Polen Capital ManagementEquity
1,805,617
$619,489,263
5.34%
-26.17%
Edgewood ManagementEquity
1,588,921
$545,142,906
5.62%
-45.80%
Generation Investment ManagementEquity
1,526,992
$523,895,685
5.09%
+0.81%
Flossbach Von StorchEquity
1,516,328
$520,236,974
2.35%
-25.01%
Winslow Capital ManagementEquity
1,472,227
$505,106,361
1.74%
+8.51%
Alkeon Capital ManagementEquity
1,468,618
$503,868,156
1.94%
0%
Sustainable Growth AdvisersEquity
1,442,706
$494,978,002
4.86%
-17.57%
Akre Capital ManagementEquity
1,110,881
$381,132,162
7.46%
-32.21%
Marshfield AssociatesEquity
1,034,433
$354,903,450
8.32%
-17.57%
Markel GroupEquity
1,013,912
$347,863,069
2.65%
+0.95%
AKO CapitalEquity
985,126
$337,987,000
7.87%
-17.00%
Kensico Capital ManagementEquity
946,600
$324,768,994
5.57%
-0.26%
Altarock PartnersEquity
836,470
$286,984,492
6.77%
+67.74%
Longview PartnersEquity
817,595
$280,508,669
4.56%
-21.14%
Cardano Risk ManagementEquity
804,973
$276,178,000
2.13%
+0.68%
Tiger Global ManagementEquity
798,697
$274,024,954
1.14%
+100%
Harris AssociatesEquity
711,659
$244,163,086
0.32%
-0.78%
Baupost GroupEquity
701,355
$240,628,000
4.44%
0%
Stockbridge PartnersEquity
557,138
$191,148,476
4.02%
+65.17%
BLS Capital FondsmaeglerselskabEquity
522,552
$179,282,366
6.91%
-11.46%
Valley Forge Capital ManagementEquity
462,978
$158,843,122
5.10%
-22.68%
Giverny CapitalEquity
389,900
$133,770,791
4.50%
-1.63%
Parnassus InvestmentsEquity
311,736
$106,953,504
0.29%
-2.14%
Mirova USEquity
293,703
$100,766,562
1.08%
-9.84%
Weitz Investment ManagementEquity
265,330
$91,032,070
6.30%
0%
Harding LoevnerEquity
261,330
$89,668,645
0.85%
-21.04%
Lone Pine CapitalEquity
165,960
$56,939,216
0.35%
+78.88%
Wedgewood PartnersEquity
89,188
$30,599,344
6.32%
+7.44%
Gardner Russo & QuinnEquity
87,256
$29,936,661
0.34%
-6.99%
Cantillon Capital ManagementEquity
83,643
$28,697,077
4.31%
-95.13%
Lindsell TrainEquity
10,500
$3,602,445
0.14%
+1.94%
Eagle Capital ManagementEquity
1,160
$397,984
0.00%
-68.40%
Yacktman Asset ManagementEquity
732
$251,142
0.00%
0%
GQG PartnersEquity
639
$219,154
0.00%
-48.30%
Brave Warrior AdvisorsEquity
618
$212,030
0.00%
+100%

Ownership Statistics

Total Shares Held: 94,822,325
Total Value Reported: $32,532,599,719
Average Allocation per Portfolio 4.39%
Largest Single Portfolio Allocation: 19.83%
Largest Shareholder: TCI Fund Management
Change in Total Shares Held (Q on Q): +1,713,016
Percentage Change in Shares Held (Q on Q): 1.84%
Number of Super Fund Holders: 46
Number of New Holders (Q on Q): 3
Number of Funds with Additions (Q on Q): 17
Number of Funds with Reductions (Q on Q): 27
Number of Funds Fully Divested (Q on Q): 3
Number of Funds with No Change (Q on Q): 5

Ownership Distribution

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Ownership History

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Company Profile

Fundamental Data