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Glenmede Investment Management 13F Portfolio

Portfolio Manager
Glenmede Investment Management, Lp
Performance
+11.84% (2025 Q3)
AUM (13F)
$20.72B
# of Holdings
1410
Performance Rank
N/A
Allocation (Top 20)
37.12%
Latest filing
Q3 2025

Glenmede Investment Management, Lp Holdings Map

Top 50 Glenmede Investment Management, Lp Holdings

Top 10 holdings

StockCompany% Port.SharesValueActivityOwnershipAvg. CostDate
VOO
VANGUARD INDEX FDS
5%1.69M$1.04B
+4.29%(+69.56K)
2025-Q2: 1.62M shares2025-Q3: 1.69M shares
$518.86(+22.35%)
2025-09-30
AAPL
APPLE INC
4.1%3.34M$849.3M
-1.97%(-67.00K)
2025-Q2: 3.40M shares2025-Q3: 3.34M shares
$200.23(+36.54%)
2025-09-30
MSFT
MICROSOFT CORP
3.96%1.58M$820.1M
-1.61%(-25.84K)
2025-Q2: 1.61M shares2025-Q3: 1.58M shares
$426.69(+14.30%)
2025-09-30
IJR
ISHARES TR
2.81%4.89M$581.1M
-2.30%(-114.93K)
2025-Q2: 5.01M shares2025-Q3: 4.89M shares
$101.67(+21.10%)
2025-09-30
SPY
SPDR S&P 500 ETF TR
2.48%772.4K$514.5M
-6.85%(-56.76K)
2025-Q2: 829.1K shares2025-Q3: 772.4K shares
$563.60(+22.48%)
2025-09-30
JPM
JPMORGAN CHASE & CO.
1.77%1.16M$366.0M
-1.00%(-11.72K)
2025-Q2: 1.17M shares2025-Q3: 1.16M shares
$250.13(+31.10%)
2025-09-30
ORCL
ORACLE CORP
1.71%1.26M$354.8M
-7.21%(-98.01K)
2025-Q2: 1.36M shares2025-Q3: 1.26M shares
$170.74(+15.96%)
2025-09-30
GOOGL
ALPHABET INC
1.57%1.34M$324.7M
-7.33%(-105.59K)
2025-Q2: 1.44M shares2025-Q3: 1.34M shares
$163.24(+92.05%)
2025-09-30
GOOG
ALPHABET INC
1.44%1.22M$298.1M
-5.21%(-67.28K)
2025-Q2: 1.29M shares2025-Q3: 1.22M shares
$165.02(+90.86%)
2025-09-30
JNJ
JOHNSON & JOHNSON
1.28%1.43M$264.8M
-1.19%(-17.14K)
2025-Q2: 1.45M shares2025-Q3: 1.43M shares
$153.62(+35.16%)
2025-09-30

About Glenmede Investment Management, Lp’s portfolio

Glenmede Investment Management, Lp reports $20.72B in US-listed equity holdings across 1,410 positions in its most recent 13F filing. Its largest disclosed positions are VOO (5.0%), AAPL (4.1%) and MSFT (4.0%). The top 20 holdings account for 37.12% of reported assets. Its disclosed equity book has returned +11.84% cumulatively over 1 quarter. Figures reflect the Q3 2025 filing.

Portfolio concentration

Portfolio concentration
VOO — 9.0% ($1.04B)AAPL — 7.4% ($849.27M)MSFT — 7.1% ($820.08M)IJR — 5.1% ($581.10M)SPY — 4.5% ($514.53M)JPM — 3.2% ($365.95M)ORCL — 3.1% ($354.83M)GOOGL — 2.8% ($324.67M)GOOG — 2.6% ($298.09M)JNJ — 2.3% ($264.83M)Other — 52.9% ($6.08B)
47%in top 10
  • VOO9.0%
  • AAPL7.4%
  • MSFT7.1%
  • IJR5.1%
  • SPY4.5%
  • JPM3.2%
  • ORCL3.1%
  • GOOGL2.8%
  • GOOG2.6%
  • JNJ2.3%
  • Other52.9%

Portfolio changes

What the fund actually did

Every reported change this quarter, grouped by direction. The signal is in the rotation, not any single trade.

Added to
15
VOOVANGUARD INDEX FDS+4.3%
SMMDISHARES TR+16.2%
PVALPUTNAM ETF TRUST+15.8%
AVGOBROADCOM INC+28.8%
+11 more
Trimmed
35
SPYSPDR S&P 500 ETF TR-6.8%
ORCLORACLE CORP-7.2%
GOOGLALPHABET INC-7.3%
MAMASTERCARD INCORPORATED-9.1%
+31 more

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Source filings

Holdings on this page are parsed from Glenmede Investment Management, Lp’s Form 13F filings with the U.S. Securities and Exchange Commission (CIK 1644465). View Glenmede Investment Management, Lp’s 13F filings on SEC

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