Meta Platforms, Inc.
Hedge Funds Holdings

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Meta Platforms, Inc.‘s stocks are currently a part of 3141 hedge funds’ portfolios, which represents 59.11% of the total amount of its stocks outstanding. This makes up a total of 1.69B shares of Meta Platforms, Inc.. Compared to the previous quarter, the number fell by -5.15% or -91.80M shares fewer. As for the holding position changes, 47.66% (1497) of current hedge fund investors increased the number of shares held, 39.19% (1231) of current holders sold a part of the shares held, and 12.32% (387) closed the holdings completely. 210 hedge funds are new holders of Meta Platforms, Inc. stock in Q1 2022, it is 6.69% of total holders.

Hedge funds holding Meta Platforms (Q2 2017 – Q1 2022)

Number of hedge funds
Q2 2017 1,941
Q3 2017 2,001
Q4 2017 2,246
Q1 2018 2,199
Q2 2018 2,286
Q3 2018 2,237
Q4 2018 2,274
Q1 2019 2,333
Q2 2019 2,399
Q3 2019 2,374
Q4 2019 2,632
Q1 2020 2,588
Q2 2020 2,720
Q3 2020 2,802
Q4 2020 3,072
Q1 2021 3,101
Q2 2021 3,173
Q3 2021 3,166
Q4 2021 3,390
Q1 2022 3,141

Hedge funds changes in Meta Platforms positions (Q2 2017 – Q1 2022)

Changes in positions
Q2 2017 15889768964133
Q3 2017 13986078166155
Q4 2017 34192376777138
Q1 2018 2178351,025227-105
Q2 2018 21993493511385
Q3 2018 1591,04284218410
Q4 2018 3017351,078254-94
Q1 2019 21396195312680
Q2 2019 17997797986178
Q3 2019 109996990116163
Q4 2019 3779811,01791166
Q1 2020 2171,236940219-24
Q2 2020 2721,1601,07113186
Q3 2020 2111,1241,187100180
Q4 2020 4151,1961,152114195
Q1 2021 2181,3331,252151147
Q2 2021 1961,4591,14799272
Q3 2021 1491,3971,196125299
Q4 2021 4521,3631,28419596
Q1 2022 2101,4971,231387-184

Hedge funds changes in Meta Platforms stock options (Q2 2017 – Q1 2022)

Changes in stock options
Q2 2017 39,981,950,355 13,819,662,194
Q3 2017 10,646,855,885 10,210,045,727
Q4 2017 16,913,016,544 16,502,379,772
Q1 2018 52,547,901,118 513,527,828,229
Q2 2018 789,293,808,064 21,603,752,216
Q3 2018 95,958,915,906 20,261,623,942
Q4 2018 17,750,556,442 14,163,007,961
Q1 2019 31,349,388,977 25,790,995,002
Q2 2019 15,934,942,600 60,172,223,400
Q3 2019 13,290,234,208 137,567,313,360
Q4 2019 51,487,909,500 46,064,666,750
Q1 2020 165,214,845,080 180,564,627,240
Q2 2020 69,739,243,528 183,345,708,842
Q3 2020 1,991,424,688,990 4,411,220,698,514
Q4 2020 2,851,357,123,352 7,490,920,745,733
Q1 2021 2,944,802,735,023 5,639,335,912,377
Q2 2021 20,385,753,094,185 12,950,305,886,761
Q3 2021 17,675,939,773,389 28,654,779,983,267
Q4 2021 23,809,400,276,990 20,698,191,966,485
Q1 2022 21,393,791,820 19,316,263,771

Top 50 hedge fund holders of Meta Platforms, Inc. (NASDAQ:FB)

Hedge fund Value Shares owned Portfolio share
CTC LLC 1.47B 108.47K 0.922%
JANE STREET GROUP, LLC 1.26B 9.29M 0.552%
JANE STREET GROUP, LLC 947.30M 6.98M 0.414%
CTC LLC 911.79M 67.21K 0.572%
SIMPLEX TRADING, LLC 743.22M 5.47M 0.840%
GROUP ONE TRADING, L.P. 631.97M 4.65M 1.242%
IMC-CHICAGO, LLC 593.51M 4.37M 0.763%
SIMPLEX TRADING, LLC 481.94M 3.55M 0.545%
JPMORGAN CHASE & CO 438.13M 3.22M 0.063%
OPTIVER HOLDING B.V. 290.18M 2.13M 0.251%
CMT CAPITAL MARKETS TRADING GMBH 275.50M 1.95M 2.050%
IMC-CHICAGO, LLC 265.41M 1.95M 0.341%
OPTIVER HOLDING B.V. 242.27M 1.78M 0.209%
JPMORGAN CHASE & CO 224.76M 1.65M 0.032%
TWIN TREE MANAGEMENT, LP 165.09M 1.21M 0.316%
GROUP ONE TRADING, L.P. 134.47M 991.1K 0.264%
CMT CAPITAL MARKETS TRADING GMBH 112.65M 800.7K 0.839%
FIDUCIARY MANAGEMENT INC /WI/ 94.56M 696.93K 0.995%
SG AMERICAS SECURITIES, LLC 78.08M 1.37M 0.967%
TWIN TREE MANAGEMENT, LP 37.08M 273.3K 0.071%
ARGENT CAPITAL MANAGEMENT LLC 28.80M 212.32K 1.130%
WEDGEWOOD PARTNERS INC 27.28M 201.11K 5.134%
MAVEN SECURITIES LTD 25.53M 188.2K 0.472%
ALLIANZ ASSET MANAGEMENT GMBH 17.96M 132.4K 0.036%
ZEVENBERGEN CAPITAL INVESTMENTS LLC 17.01M 125.36K 0.481%
FRANKLIN STREET ADVISORS INC /NC 14.80M 109.15K 1.500%
MAVEN SECURITIES LTD 14.80M 109.1K 0.274%
AMI ASSET MANAGEMENT CORP 14.14M 104.27K 1.034%
BADGLEY PHELPS WEALTH MANAGERS, LLC 12.85M 94.74K 0.552%
SVB WEALTH LLC 11.59M 85.44K 0.169%
ALLIANZ ASSET MANAGEMENT GMBH 9.71M 71.6K 0.020%
MARATHON TRADING INVESTMENT MANAGEMENT LLC 7.73M 57K 0.755%
CHEVIOT VALUE MANAGEMENT, LLC 6.64M 48.98K 1.816%
AZIMUTH CAPITAL INVESTMENT MANAGEMENT LLC 6.33M 46.69K 0.347%
ROTHSCHILD INVESTMENT CORP /IL 5.89M 43.46K 0.583%
REGENT INVESTMENT MANAGEMENT LLC 5.46M 40.31K 1.596%
WINTRUST INVESTMENTS LLC 5.38M 24.9K 0.674%
MITCHELL CAPITAL MANAGEMENT CO 4.73M 34.89K 1.344%
CYRUS J. LAWRENCE, LLC 4.70M 34.68K 0.925%
GLADIUS CAPITAL MANAGEMENT LP 4.47M 33K 0.197%
COZAD ASSET MANAGEMENT INC 4.24M 31.28K 0.689%
JW ASSET MANAGEMENT, LLC 4.07M 30K 2.093%
MORSE ASSET MANAGEMENT, INC 3.84M 28.35K 1.452%
D L CARLSON INVESTMENT GROUP INC 3.59M 26.49K 0.782%
LEE DANNER & BASS INC 3.45M 25.48K 0.366%
STILLWATER INVESTMENT MANAGEMENT, LLC 3.37M 24.90K 1.043%
ROANOKE ASSET MANAGEMENT CORP/ NY 3.00M 22.15K 1.431%
GOODHAVEN CAPITAL MANAGEMENT, LLC 2.86M 21.11K 2.072%
JAMES INVESTMENT RESEARCH INC 2.76M 20.34K 0.394%
AKUNA SECURITIES LLC 2.75M 20.3K 0.017%