Glenmede Investment Management, LP
CIK: 0001644465SEC EDGAR →
Portfolio Value
$20.7T
Holdings
1,410
As of
Q3 2025
New Positions
106
Closed Positions
189
Portfolio Value History
Top 10 Holdings
| Rank | Stock | Shares | Value | % of Portfolio |
|---|---|---|---|---|
| 1 | VANGUARD INDEX FDS | 1,691,433 | $1.0T | 5.00% |
| 2 | APPLE INC | 3,335,317 | $849.3B | 4.10% |
| 3 | MICROSOFT CORP | 1,583,322 | $820.1B | 3.96% |
| 4 | ISHARES TR | 4,890,176 | $581.1B | 2.81% |
| 5 | SPDR S&P 500 ETF TR | 772,361 | $514.5B | 2.48% |
| 6 | JPMORGAN CHASE & CO. | 1,160,165 | $366.0B | 1.77% |
| 7 | ORACLE CORP | 1,261,667 | $354.8B | 1.71% |
| 8 | ALPHABET INC | 1,335,545 | $324.7B | 1.57% |
| 9 | ALPHABET INC | 1,223,946 | $298.1B | 1.44% |
| 10 | JOHNSON & JOHNSON | 1,428,293 | $264.8B | 1.28% |
Quarterly Changes
Top Buys
New Positions (109)
$53.0B · 170K shares
$42.8B · 509K shares
$11.3B · 395K shares
$10.7B · 281K shares
$9.4B · 83K shares
$7.6B · 60K shares
$2.7B · 45K shares
$2.6B · 146K shares
$1.7B · 29K shares
$1.5B · 2K shares
$1.1B · 4K shares
$843.2M · 10K shares
$839.5M · 5K shares
$795.8M · 5K shares
$759.3M · 35K shares
$756.6M · 40K shares
$741.0M · 6K shares
$619.7M · 2K shares
$604.0M · 11K shares
$536.2M · 2K shares
$534.9M · 9K shares
$523.5M · 9K shares
$503.4M · 10K shares
$489.7M · 664 shares
$465.2M · 6K shares
$417.1M · 318K shares
$414.0M · 4K shares
$395.9M · 11K shares
$390.8M · 6K shares
$387.4M · 11K shares
$382.3M · 3K shares
$370.5M · 1K shares
$347.1M · 23K shares
$333.4M · 8K shares
$324.5M · 7K shares
$319.0M · 11K shares
$312.1M · 19K shares
$299.6M · 3K shares
$296.5M · 7K shares
$294.6M · 5K shares
$289.5M · 8K shares
$286.4M · 843 shares
$278.7M · 28K shares
$278.2M · 12K shares
$277.9M · 4K shares
$276.9M · 2K shares
$276.1M · 3K shares
$273.8M · 2K shares
$273.2M · 4K shares
$271.1M · 8K shares
$268.7M · 4K shares
$264.0M · 11K shares
$262.0M · 3K shares
$260.0M · 2K shares
$255.2M · 847 shares
$244.5M · 3K shares
$243.0M · 3K shares
$240.4M · 5K shares
$238.5M · 2K shares
$237.5M · 1K shares
$232.3M · 1K shares
$232.2M · 10K shares
$232.1M · 1K shares
$228.9M · 1K shares
$225.6M · 6K shares
$225.3M · 2K shares
$223.8M · 3K shares
$222.8M · 270 shares
$222.3M · 2K shares
$222.0M · 4K shares
$221.2M · 485 shares
$220.0M · 2K shares
$218.4M · 9K shares
$217.5M · 2K shares
$217.4M · 1K shares
$217.3M · 556 shares
$213.1M · 5K shares
$212.6M · 3K shares
$212.0M · 1K shares
$209.1M · 3K shares
$205.7M · 2K shares
$205.6M · 894 shares
$203.8M · 3K shares
$203.6M · 1K shares
$201.0M · 6K shares
$186.3M · 8K shares
$181.9M · 11K shares
$176.3M · 16K shares
$170.5M · 12K shares
$164.0M · 12K shares
$153.2M · 12K shares
$152.7M · 22K shares
$141.6M · 11K shares
$139.1M · 10K shares
$135.3M · 10K shares
$133.3M · 10K shares
$125.9M · 31K shares
$90.5M · 12K shares
$89.6M · 955 shares
$88.8M · 12K shares
$83.0M · 637 shares
$64.7M · 750 shares
$54.9M · 11K shares
$37.3M · 907 shares
$31.2M · 976 shares
$24.3M · 625 shares
$23.4M · 466 shares
$3.5M · 62 shares
$1.2M · 3 shares
Closed Positions (197)
$55.9B · 529K shares
$52.1B · 174K shares
$15.0B · 611K shares
$12.9B · 68K shares
$11.3B · 614K shares
$8.1B · 594K shares
$7.8B · 162K shares
$3.3B · 208K shares
$2.8B · 140K shares
$2.8B · 45K shares
$1.5B · 9K shares
$1.4B · 5K shares
$1.3B · 36K shares
$1.1B · 3K shares
$1.1B · 15K shares
$1.1B · 29K shares
$1.1B · 7K shares
$982.5M · 17K shares
$952.9M · 5K shares
$950.0M · 38K shares
$856.8M · 21K shares
$846.9M · 6K shares
$813.9M · 5K shares
$738.9M · 11K shares
$604.6M · 6K shares
$560.1M · 16K shares
$537.3M · 4K shares
$532.0M · 8K shares
$500.0M · 11K shares
$499.6M · 4K shares
$476.8M · 15K shares
$419.9M · 4K shares
$396.7M · 5K shares
$394.1M · 25K shares
$393.9M · 34K shares
$359.8M · 7K shares
$359.5M · 19K shares
$319.8M · 6K shares
$313.2M · 7K shares
$300.8M · 7K shares
$282.4M · 5K shares
$278.4M · 2K shares
$238.3M · 26K shares
$218.9M · 5K shares
$215.3M · 4K shares
$212.2M · 1K shares
$210.9M · 2K shares
$210.5M · 5K shares
$208.7M · 375 shares
$207.1M · 7K shares
$206.9M · 1K shares
$206.8M · 2K shares
$206.5M · 843 shares
$202.5M · 2K shares
$202.0M · 600 shares
$197.4M · 3K shares
$188.1M · 15K shares
$171.4M · 785 shares
$167.5M · 8K shares
$149.3M · 4K shares
$138.3M · 3K shares
$118.5M · 30K shares
$112.8M · 2K shares
$111.9M · 1K shares
$102.2M · 1K shares
$102.1M · 4K shares
$99.1M · 1K shares
$98.8M · 6K shares
$98.7M · 1K shares
$98.7M · 10K shares
$97.1M · 2K shares
$96.4M · 4K shares
$96.1M · 932 shares
$92.2M · 11K shares
$92.0M · 2K shares
$91.2M · 2K shares
$90.5M · 2K shares
NEXTRACKER INC
$89.7M · 2K shares
$89.4M · 4K shares
$80.6M · 2K shares
$79.2M · 20K shares
$77.0M · 900 shares
$75.4M · 4K shares
$75.1M · 2K shares
$75.1M · 2K shares
$73.5M · 2K shares
$68.0M · 4K shares
$67.8M · 537 shares
$66.0M · 947 shares
$65.5M · 1K shares
$65.3M · 386 shares
$59.7M · 2K shares
$59.3M · 3K shares
$59.1M · 3K shares
$58.8M · 2K shares
$57.6M · 3K shares
$55.0M · 980 shares
$52.9M · 166 shares
$50.0M · 5K shares
$47.2M · 830 shares
$46.3M · 304 shares
$45.9M · 533 shares
$44.1M · 4K shares
$41.7M · 1K shares
$41.2M · 358 shares
$40.9M · 1K shares
$39.5M · 10K shares
$39.1M · 2K shares
$38.8M · 841 shares
$38.5M · 370 shares
$38.5M · 4K shares
$38.1M · 2K shares
$36.7M · 326 shares
$35.6M · 2K shares
$33.0M · 4K shares
$32.0M · 3K shares
$31.1M · 564 shares
$30.3M · 640 shares
$30.2M · 352 shares
$29.5M · 1K shares
$29.3M · 1K shares
$28.9M · 778 shares
$28.7M · 2K shares
$28.0M · 368 shares
$27.4M · 340 shares
$26.3M · 724 shares
$26.2M · 2K shares
$25.5M · 1K shares
$24.9M · 1K shares
$23.5M · 317 shares
$23.1M · 3K shares
$21.9M · 2K shares
$21.8M · 992 shares
$21.7M · 1K shares
$21.6M · 5K shares
UNIVERSAL HLTH RLTY INC TR SH BEN INT
$21.1M · 529 shares
$21.1M · 3K shares
$20.6M · 7K shares
$20.0M · 5K shares
$19.6M · 483 shares
$19.1M · 262 shares
$18.3M · 76 shares
$18.2M · 2K shares
$17.6M · 821 shares
$17.3M · 352 shares
$17.2M · 752 shares
$17.0M · 824 shares
$16.6M · 3K shares
$16.6M · 2K shares
$16.3M · 166 shares
$16.0M · 138 shares
$15.7M · 597 shares
$15.5M · 383 shares
$15.1M · 2K shares
$13.0M · 829 shares
$12.9M · 1K shares
$12.8M · 3K shares
$12.7M · 234 shares
$12.5M · 301 shares
$11.7M · 357 shares
$11.5M · 92 shares
$11.5M · 643 shares
$11.4M · 428 shares
$10.9M · 236 shares
$9.7M · 106 shares
$9.0M · 212 shares
$8.7M · 272 shares
$8.6M · 472 shares
$8.3M · 353 shares
$7.7M · 591 shares
$7.3M · 316 shares
$5.4M · 234 shares
$5.0M · 232 shares
$4.6M · 975 shares
$4.4M · 44 shares
$4.0M · 41 shares
$3.8M · 144 shares
$3.6M · 49 shares
$3.3M · 54 shares
$2.9M · 347 shares
$2.7M · 288 shares
$2.5M · 90 shares
$2.5M · 11 shares
$2.1M · 858 shares
$1.8M · 53 shares
$1.5M · 55 shares
$1.3M · 15 shares
$1.1M · 161 shares
$826K · 107 shares
$729K · 45 shares
$647K · 15 shares
$529K · 53 shares
$477K · 16 shares
$362K · 104 shares
$241K · 24 shares
$234K · 78 shares
$152K · 39 shares
Sector Breakdown
| Sector | # Holdings | Value | % |
|---|---|---|---|
| Financial Services | 404 | $7.0T | 33.9% |
| Technology | 193 | $4.9T | 23.5% |
| Healthcare | 134 | $1.7T | 8.4% |
| Consumer Cyclical | 103 | $1.6T | 7.8% |
| Industrials | 172 | $1.4T | 6.9% |
| Communication Services | 43 | $1.2T | 5.8% |
| Consumer Defensive | 52 | $742.6B | 3.6% |
| Unknown | 93 | $679.1B | 3.3% |
| Energy | 67 | $610.1B | 2.9% |
| Basic Materials | 54 | $345.6B | 1.7% |
| Utilities | 50 | $256.2B | 1.2% |
| Real Estate | 45 | $195.8B | 0.9% |