Post Holdings, Inc. 13F holders
Of the 44 funds followed here, 7 reported a position in Post Holdings, Inc. in a 13F for the quarter ended 30 June 2026. The largest: Norges Bank, 1.3 million shares worth $115.6 million, 0.0% of its reported book. Sold out: Point72 Asset Management.
| Fund | Shares | Value | Of its book | Change on the quarter | Status | Quarter ended | Filing |
|---|---|---|---|---|---|---|---|
| Norges Bank | 1,309,435 | $115.6 million | 0.0% | held | 30 June 2026 | 13F | |
| Citadel Advisors | 1,023,692 | $90.4 million | 0.0% | +792,486 | added | 30 June 2026 | 13F |
| Geode Capital Management | 746,967 | $65.9 million | 0.0% | -59,859 | trimmed | 30 June 2026 | 13F |
| Two Sigma Investments | 639,671 | $56.5 million | 0.0% | -752,377 | trimmed | 30 June 2026 | 13F |
| FMR LLC | 516,577 | $45.6 million | 0.0% | -314,592 | trimmed | 30 June 2026 | 13F |
| Millennium Management | 283,969 | $25.1 million | 0.0% | +105,075 | added | 30 June 2026 | 13F |
| Bridgewater Associates | 72,779 | $6.4 million | 0.0% | +13,927 | added | 30 June 2026 | 13F |
| Point72 Asset Management | 0 | $0 | 0.0% | -427,198 | exited | 30 June 2026 | 13F |
Value is what the fund reported.
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Change is shares against the fund's previous 13F; a fund with one filing read shows no change. 13Fs cover long US positions of managers above $100 million and are filed up to 45 days after the quarter.Schedule 13D and 13G filed on the name, last twelve months
| Filed | Schedule | Who | Holding | Of the class | Event date | Rule or purpose | Filing |
|---|---|---|---|---|---|---|---|
| 31 July 2026 | 13G/A | Vanguard Portfolio Management and 1 other | 2.2 million | 4.9% | 30 June 2026 | passive, institutional (13d-1(b)) | EDGAR |
| 14 May 2026 | 13G/A | Route One Investment Company, L.P. and 9 others | 3.0 million | 6.5% | 31 March 2026 | passive, institutional (13d-1(b)) | EDGAR |
| 14 May 2026 | 13G/A | Clarkston Capital Partners, LLC and 7 others | 1.2 million | 2.6% | 31 March 2026 | passive, institutional (13d-1(b)) | EDGAR |
| 29 April 2026 | 13G | Vanguard Portfolio Management and 1 other | 2.5 million | 5.1% | 31 March 2026 | passive, institutional (13d-1(b)) | EDGAR |
| 9 April 2026 | 13G/A | Dimensional Fund Advisors LP and 1 other | 3.1 million | 6.4% | 31 March 2026 | passive, institutional (13d-1(b)) | EDGAR |
| 27 March 2026 | 13G/A | The Vanguard Group and 1 other | 0 | 0.0% | 13 March 2026 | passive, institutional (13d-1(b)) | EDGAR |
| 31 October 2025 | 13G | Jpmorgan Chase & Co. and 1 other | 2.8 million | 5.1% | 30 September 2025 | passive, institutional (13d-1(b)) | EDGAR |
| 9 October 2025 | 13G | Dimensional Fund Advisors LP and 1 other | 2.8 million | 5.2% | 30 September 2025 | passive, institutional (13d-1(b)) | EDGAR |
A Schedule 13D is filed by anyone who crosses 5% of a class with intent to influence; a 13G by a passive holder.
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Amendments (/A) report a change, including an exit to zero. Holding and percentage are as the filer stated them on the cover page; the purpose is the filer's own words, cut short.Fails to deliver
| Settlement date | Shares failed | Price | File |
|---|---|---|---|
| 8 September 2026 | 5,447 | $84.64 | SEC |
| 4 September 2026 | 1 | $84.26 | SEC |
| 3 September 2026 | 1 | $84.32 | SEC |
| 18 August 2026 | 1 | $79.35 | SEC |
| 13 August 2026 | 2 | $80.58 | SEC |
| 10 August 2026 | 1,541 | $78.69 | SEC |
Shares that failed to deliver at settlement, per day, from the SEC's half-month files, which arrive about two weeks after the period.
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Largest in the window: 5,447 on 8 September 2026. A fail is an operational fact about settlement, not a position.Source
Each fund's 13F-HR on EDGAR, linked per row; positions matched to POST by CUSIP from the SEC's own fails-to-deliver files; Schedule 13D and 13G from the company's own filing index, each read to confirm the company is the issuer named.
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