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KE Holdings Inc.

Institutional holders · 13F as of Mar 31, 2026

227 holders

HolderValueShares% of shares
Royal Bank of Canada$748.0K49,955
Creative Planning$714.5K45,338
OVERSEA-CHINESE BANKING Corp Ltd$674.6K45,062
Quadrature Capital Ltd$670.4K46,137
PEAK6 LLC$628.2K41,962
Barclays PLC$623.0K39,528
Vanguard Personalized Indexing Management, LLC$596.2K37,829
Vontobel Holding Ltd.$555.4K35,244
Allianz Asset Management GmbH$512.8K32,536
Brooklyn Investment Group$495.6K30,761
Avanda Investment Management Pte. Ltd.$483.8K30,700
BAROMETER CAPITAL MANAGEMENT INC.$481.4K300,900
O'SHAUGHNESSY ASSET MANAGEMENT, LLC$469.9K29,817
AMERIPRISE FINANCIAL INC$461.3K29,271
TWO SIGMA SECURITIES, LLC$459.2K29,136
Caption Management, LLC$457.0K29,000
Crossmark Global Holdings, Inc.$392.3K24,892
Bridgefront Capital, LLC$391.9K24,866
Pekin Hardy Strauss, Inc.$381.7K25,500
Laurion Capital Management LP$381.3K25,470
Solstein Capital, LLC$332.5K21,100
Genus Capital Management Inc.$326.2K20,700
Corient Private Wealth LLC$320.0K20,350
Walleye Capital LLC$315.0K19,985
Vise Technologies, Inc.$311.0K19,732
The PNC Financial Services Group, Inc.$295.5K20,338
Laird Norton Wetherby Trust Company, LLC$292.1K18,532
Centiva Capital, LP$287.7K18,257
TUDOR INVESTMENT CORP ET AL$272.9K17,314
May Hill Capital, LLC$268.3K17,024
NOMURA ASSET MANAGEMENT CO LTD$252.8K16,890
EWA, LLC$246.8K15,659
Cerity Partners LLC$230.8K14,647
Jain Global LLC$222.2K14,100
FIRST TRUST ADVISORS LP$209.6K14,000
Compound Planning, Inc.$208.0K13,199
QRG CAPITAL MANAGEMENT, INC.$202.2K12,831
Tuttle Capital Management, LLC$192.5K12,213
T. Rowe Price Associates, Inc.$191.9K12,177,783
Sequoia Financial Advisors, LLC$191.2K12,131
Brevan Howard Capital Management LP$189.5K12,022
Victory Capital Management, Inc.$189.1K13,017
SIGNATUREFD, LLC$186.2K11,816
Leonteq Securities AG$182.6K11,589
PANAGORA ASSET MANAGEMENT INC$182.2K11,561
Caprock Group, LLC$174.5K11,072
Pathstone Holdings, LLC$172.8K10,961
Quantbot Technologies LP$171.1K10,857
US BANCORP \DE$165.3K10,488
IEQ CAPITAL, LLC$162.8K10,327
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