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Corporate Score 30 Bullish

Institutional Interest in Verizon Rises as Aggregate Hedge Fund Holdings Grow

Apr 24, 2026 17:16 UTC
VZ
Medium term

An analysis of recent 13F filings reveals a net increase in Verizon Communications Inc. shares held by a specific group of hedge funds. While some managers exited their positions, the overall aggregate share count grew by approximately 9%.

  • Aggregate share count increased by 6,238,807 shares
  • Total holdings grew from 69,061,694 to 75,300,501
  • Black Swift Group LLC and SOL Capital Management CO fully exited VZ
  • 10 funds increased positions and 4 new positions were opened
  • 13F data reflects long positions only, excluding short bets

Recent SEC 13F filings indicate a shift in institutional positioning for Verizon Communications Inc. (VZ), with a subset of hedge funds increasing their exposure to the telecommunications giant. The data, covering the reporting period ending March 31, 2026, shows that out of 51 recently reviewed filings, 24 funds maintained positions in VZ. Between December 31, 2025, and March 31, 2026, the aggregate share count among these funds rose from 69,061,694 to 75,300,501. This represents a total increase of 6,238,807 shares, or roughly 9.03%. The movement was mixed among individual managers. Ten funds increased their existing stakes, and four new positions were established. Conversely, ten funds reduced their holdings, with Black Swift Group LLC and SOL Capital Management CO completely exiting their positions in VZ common stock. While the aggregate increase suggests a bullish lean among these managers, analysts caution that 13F filings only disclose long positions. Because these filings do not require the disclosure of short positions or options hedges, the total net exposure of these funds may differ from the long-only figures reported.

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