HolderBook

TRIP COM GROUP LTD (TCOM)

Institutional ownership reported to the SEC as of Q2 2026, across 30 quarters.

305
Reporting holders
$6.1B
Reported value
22.5%
Of shares outstanding
4.8%
Held as options
-24
Holder change

Institutions report 146,395,144 shares against 649,583,574 outstanding. Shares only - option lines are excluded, which is why this can be compared with the company at all. The count comes from the cover page of the company's own most recent report, so it is dated when that was filed rather than at quarter end. Share count carried from an earlier filing (concept 2025-12-31).

Options share is the part of reported value carried in derivative lines rather than shares. A high figure means institutions are expressing a view on this security without owning much of it.

Holders

FilerValueShares Their book Held Change
Capital World Investors$1.4B36,247,8100.17%13qHELD
MORGAN STANLEY$513.0M12,875,3460.03%27q-1.8%-$9.2M
Sanders Capital, LLC$420.7M10,560,5640.42%9q-0.8%-$3.2M
Davis Selected Advisers$349.1M8,761,3711.50%8q+33.7%+$87.9M
ARGA Investment Management, LP$260.0M6,527,2046.63%19q+128.1%+$146.0M
Capital International Investors$242.2M6,079,4520.05%27q+1507.3%+$227.1M
JPMORGAN CHASE & CO$146.6M3,568,5940.01%27q-24.6%-$47.9M
UBS Group AG$112.5M2,224,8760.01%27q+150.2%+$67.6M
Robeco Institutional Asset Management B.V.$110.0M2,761,9100.14%15q+5.8%+$6.0M
Legal & General Group Plc$104.3M2,617,3630.02%27q-0.6%-$679.2K
D. E. Shaw & Co., Inc.$104.0M2,564,3760.05%5q+66.2%+$41.4M
DIMENSIONAL FUND ADVISORS LP$90.2M2,264,8010.02%27q-3.8%-$3.5M
Temasek Holdings (Private) Ltd$89.2M2,239,6710.24%6qHELD
Russell Investments Group, Ltd.$79.4M1,993,3910.07%27q+4.0%+$3.0M
TWO SIGMA INVESTMENTS, LP$77.7M1,951,3360.06%4q-21.7%-$21.5M
FMR LLC$75.2M1,887,8740.00%27q-12.0%-$10.2M
UBS AM, a distinct business unit of UBS ASSET MANAGEMENT AMERICAS LLC$72.5M1,819,7600.01%3q-11.6%-$9.5M
FEDERATED HERMES, INC.$71.1M1,783,8460.10%27qHELD
BlackRock, Inc.$67.1M1,683,7890.00%8q-22.1%-$19.0M
WELLINGTON MANAGEMENT GROUP LLP$64.8M1,626,2470.01%27q+17.0%+$9.4M
LOOMIS SAYLES & CO L P$63.2M1,586,6060.08%27q+62.5%+$24.3M
SUSQUEHANNA INTERNATIONAL GROUP, LLP$60.7M183,4350.00%27q-65.9%-$117.4M
Vontobel Holding Ltd.$57.0M1,430,1060.18%23q+3.4%+$1.9M
CITIGROUP INC$54.6M1,121,7280.02%27q+392.7%+$43.6M
Capital International, Inc./CA/$48.7M1,221,3450.34%27q+247.5%+$34.7M
Ruffer LLP$42.8M1,075,0961.51%newNEW
SCHRODER INVESTMENT MANAGEMENT GROUP$42.0M1,054,6720.03%27q-15.3%-$7.6M
Perseverance Asset Management International$41.2M1,034,0854.21%2q+53.2%+$14.3M
Clearbridge Investments, LLC$39.8M999,6670.03%4q-0.7%-$267.6K
GOLDMAN SACHS GROUP INC$39.4M829,4050.00%27q-48.9%-$37.8M
Capital Research Global Investors$38.8M973,6610.01%2q-38.4%-$24.2M
BANK OF AMERICA CORP /DE/$38.1M957,2650.00%27q-49.3%-$37.1M
Polar Capital Holdings Plc$35.0M878,2640.08%8q-11.4%-$4.5M
BRANDES INVESTMENT PARTNERS, LP$34.7M871,2130.24%3qHELD
NOMURA ASSET MANAGEMENT INTERNATIONAL INC.$33.3M836,8600.05%3q+6.1%+$1.9M
Walleye Trading LLC$33.3M117,5500.04%27qHELD
Fore Capital, LLC$33.2M50,0009.80%newNEW
SRS Investment Management, LLC$30.4M763,4770.28%6q+0.7%+$225.5K
IMC-Chicago, LLC$29.9M114,7300.01%19q-11.1%-$3.7M
VOLORIDGE INVESTMENT MANAGEMENT, LLC$29.2M733,2230.12%4q+58.0%+$10.7M
CAPITAL INTERNATIONAL SARL$29.1M730,2520.41%27q+10.6%+$2.8M
JANE STREET GROUP, LLC$27.1M233,3980.00%27qHELD
BNP PARIBAS FINANCIAL MARKETS$27.0M312,1970.01%7q+18.3%+$4.2M
HEALTHCARE OF ONTARIO PENSION PLAN TRUST FUND$26.8M673,7490.04%newNEW
Headwater Capital Co Ltd$24.1M605,0004.82%7q-8.3%-$2.2M
Point72 Asset Management, L.P.$24.1M603,7530.03%9q-44.5%-$19.3M
M&G PLC$22.4M424,9450.11%10q+62.4%+$8.6M
NORTHERN TRUST CORP$21.7M545,1100.00%27q-15.5%-$4.0M
Triata Capital Ltd$20.1M503,3463.41%5q+29.5%+$4.6M
SEI INVESTMENTS CO$19.4M487,1420.02%26q+31.5%+$4.6M
LAZARD ASSET MANAGEMENT LLC$19.1M478,3550.03%27q-32.4%-$9.1M
NEW YORK STATE COMMON RETIREMENT FUND$18.6M467,1320.02%27q+156.3%+$11.3M
GROUP ONE TRADING LLC$18.2M48,6920.03%27q-61.8%-$29.5M
CITADEL ADVISORS LLC$17.8M20,2590.00%27q-88.5%-$136.8M
Green Court Capital Management Ltd$15.9M399,80113.62%12q-19.3%-$3.8M
CAPITAL FUND MANAGEMENT S.A.$15.9M398,9290.07%newNEW
Amundi$15.0M377,1170.00%21q-4.6%-$720.5K
True Light Capital Pte. Ltd.$14.9M373,7519.81%3qHELD
CAPITAL INTERNATIONAL LTD /CA/$14.9M373,2320.49%27q+3.2%+$458.4K
TUDOR INVESTMENT CORP ET AL$14.8M167,7270.02%8q+8.4%+$1.2M
PLATINUM INVESTMENT MANAGEMENT LTD$14.0M351,9213.45%27q-7.3%-$1.1M
ABN AMRO INVESTMENT SOLUTIONS$12.2M307,4290.11%14q-37.8%-$7.4M
Squarepoint Ops LLC$11.5M48,8180.01%12q-32.3%-$5.5M
TB Alternative Assets Ltd.$11.4M287,2201.84%4q-11.9%-$1.5M
NATIONAL BANK OF CANADA /FI/$10.9M274,3000.01%19q+271.2%+$8.0M
Tairen Capital Ltd$10.9M274,2270.97%7q+46.3%+$3.5M
WIM INVESTMENT MANAGEMENT Ltd$10.3M258,5503.37%6qHELD
Invesco Ltd.$10.2M255,7680.00%27q-6.7%-$737.2K
AMERICAN CENTURY COMPANIES INC$10.1M252,5470.00%25qHELD
MASSACHUSETTS FINANCIAL SERVICES CO /MA/$9.7M31,5450.00%15qHELD
AIA Group Ltd$9.1M228,1760.06%18q+130.9%+$5.2M
Cantillon Capital Management LLC$8.5M214,2421.28%9q-95.3%-$174.3M
GEODE CAPITAL MANAGEMENT, LLC$8.4M209,6850.00%27q+0.6%+$48.2K
SIH Partners, LLLP$7.9M197,4200.05%8q+5.6%+$417.0K
ENVESTNET ASSET MANAGEMENT INC$7.4M185,5520.00%27q+3.4%+$244.9K
HSBC HOLDINGS PLC$7.3M172,5400.00%27q+23.5%+$1.4M
FRANKLIN RESOURCES INC$7.0M175,9440.00%27q+3.1%+$211.7K
U S GLOBAL INVESTORS INC$7.0M175,2700.67%20q+42.1%+$2.1M
MILLENNIUM MANAGEMENT LLC$6.9M85,7710.00%27q-20.7%-$1.8M
WELLS FARGO & COMPANY/MN$6.7M169,2010.00%27q-49.5%-$6.6M
Alphadyne Asset Management LP$6.6M14,5500.06%newNEW
BARCLAYS PLC$6.3M159,1670.00%18q-18.3%-$1.4M
1832 Asset Management L.P.$6.1M154,3140.00%3q-13.7%-$977.8K
Tidal Investments LLC$6.0M151,3160.01%11q+13.1%+$699.2K
SIMPLEX TRADING, LLC$6.0Moptions only0.00%27qOPTIONS
OSBORNE PARTNERS CAPITAL MANAGEMENT, LLC$5.9M149,1230.33%22q-17.0%-$1.2M
ROYAL BANK OF CANADA$5.8M144,8910.00%27q+6.3%+$340.6K
Y-Intercept (Hong Kong) Ltd$5.6M140,7970.11%3q-25.1%-$1.9M
MACKENZIE FINANCIAL CORP$5.6M140,7010.01%27qHELD
DYMON ASIA CAPITAL (SINGAPORE) PTE. LTD.$5.6M140,4290.23%15q+37.4%+$1.5M
PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO$5.2M130,7670.02%7q+137.9%+$3.0M
BNP PARIBAS ASSET MANAGEMENT Holding S.A.$4.5M113,4390.00%3q-71.7%-$11.5M
NORDEA INVESTMENT MANAGEMENT AB$4.5M113,3730.00%14q+2.2%+$97.6K
AI-Squared Management Ltd$4.1M101,8002.16%2q+7.4%+$279.3K
Boston Common Asset Management, LLC$3.9M99,0370.23%28q-57.9%-$5.4M
PARUS FINANCE (UK) Ltd$3.8M95,5720.99%27q-2.1%-$81.1K
Asset Management One Co., Ltd.$3.8M95,2150.01%27qHELD
BRILLIANCE ASSET MANAGEMENT LTD$3.8M95,2111.12%2q+6.0%+$214.1K
Yiheng Capital Management, L.P.$3.5M88,1121.21%2qHELD
Balyasny Asset Management L.P.$3.5M31,9710.00%4q-92.6%-$43.6M

Showing the largest 100 of 323 reported holders.

Quarter by quarter

Coverage begins with the quarter ending 2018-12-31. Earlier filings exist only as occasional late amendments, too sparse to describe a market, so they are not shown.

QuarterHoldersValue SharesNewAdded TrimmedOptions
Q2 2026305$6.1B146,395,144361061094.8%
Q1 2026329$7.5B144,354,066471061254.4%
Q4 2025354$11.4B154,067,170421241043.1%
Q3 2025329$12.7B164,472,141461111083.0%
Q2 2025330$10.1B166,526,40935951463.1%
Q1 2025373$16.0B247,135,640501221381.9%
Q4 2024377$17.7B250,192,346551121412.8%
Q3 2024352$16.1B262,046,474571221143.0%
Q2 2024338$11.1B230,088,550541111232.3%
Q1 2024315$12.7B284,263,466521061092.1%
Q4 2023293$8.8B242,502,39725851241.7%
Q3 2023310$8.0B219,950,71043891233.5%
Q2 2023298$8.3B233,353,51744941171.6%
Q1 2023308$11.6B305,297,510601101041.2%
Q4 2022270$9.8B278,752,6924780992.2%
Q3 2022316$9.2B324,565,183391131182.2%
Q2 2022321$9.7B331,350,241621021075.3%
Q1 2022286$9.3B378,829,16032120924.9%
Q4 2021310$10.7B403,391,70941821275.0%
Q3 2021328$13.4B412,197,670281201272.8%
Q2 2021381$15.3B424,585,85753168961.8%
Q1 2021365$16.1B396,531,019541471162.3%
Q4 2020348$13.9B402,302,008411261122.4%
Q3 2020331$12.6B395,576,554481101142.4%
Q2 2020318$10.7B399,865,283491001162.7%
Q1 2020327$9.5B393,007,23055119982.8%
Q4 2019343$12.6B365,819,426327332.5%
Q3 201911$17.0M574,78510000.0%
Q2 20191$702.0K19,8110000.0%
Q1 20191$702.0K19,8111000.0%