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Showing Q3 2025 data
Glenmede Investment Management, LP's Q4 2025 filing not yet available. Expected by Feb 14, 2026.
Glenmede Investment Management, LP
โขCIK: 1644465โขFiling: Q3 2025
**Glenmede Investment Management, LP** manages $20.7B across a diversified portfolio of 1,410 positions. The fund exhibits significant concentration in mega-cap technology and index exposure, notably holding VOO at $1035.8M and AAPL at $849.3M. Key allocations also include MSFT ($820.1M), IJR ($581.1M), and SPY ($514.5M). This positioning suggests a core strategy focused on established market leaders and broad market indices.
Total AUM
$20.7B
QoQ Performance
+4.8%
Positions
1,179
Top 10 Concentration
31.6%
Latest Filing
Q3 2025
Top Holdings Allocation
VOO
VOO5.0%
AAPL4.1%
MSFT4.0%
IJR2.8%
SPY2.5%
JPM1.8%
ORCL1.7%
GOOGL1.6%
๐ Biggest Buys
๐ Biggest Sells
Sector Breakdown
Other41.7%
Technology22.7%
ETF9.6%
Financial7.5%
Healthcare6.2%
Consumer5.8%
Industrial2.3%
Communication1.1%
๐ช Exited Positionssold since Q2 2025
โ
FORTINET INC
SOLD
$55.9M
โ
CENCORA INC
SOLD
$52.1M
+1295 more exited positions
Changes from Q2 2025
NEW2 new positions
โ63 increased
โ135 decreased
Historical Filings
Q3 2025Q2 2025