Institutional HoldersBeta

Who holds a company, from every 13F filed for the quarter, one row per filer exactly as filed, against the latest share count the company reported.

MICROCHIP TECHNOLOGY INC

CIK 0000827054MCHPMCHPP· quarter ending 2026-06-30
Shares outstanding
543,008,691
Held by 13F filers
28,036,087
selection includes debt or preferreds — no % of shares outstanding
Holders
84
+3 vs 2026-03-31 · 13 new, 10 exited
Value
$2.1B
shares -1.1% vs prior quarter

Share classes (cover page of the 10-Q filed 2026-08-06, as of 2026-07-28)

ClassListedShares outstandingHeld by 13F filers% of classHoldersCUSIP
Common stockMCHP · NASDAQ543,008,691542,670,85699.9%1,291595017104

Each class is compared with its own share count; classes are not added together. A class that is not exchange-listed cannot be held by 13F filers.

Securities (CUSIPs held in 13F this quarter)

tick to combine
CountCUSIPClass (as filers write it)HoldersShares heldClass shares% of classValueOptionsMapped via
595017104COM1,291542,670,856543,008,69199.9%$49.4B35 call / 36 put13DGholders →
595017302DEP SHS REPSTGnot common8427,512,096
$524K principal
——$2.1B—NPORTholders →
595017BG8NOTE 0.750% 6/0not common7498,680,251
$1.2B principal
——$1.3B—NPORTholders →
595017AF1NOTE 1.625% 2/1not common92,142,000
$35.6M principal
——$101.9M—prefixholders →

Totals combine the ticked CUSIPs and update as you tick: common-stock classes by default; preferreds, notes, warrants and depositary shares are listed but not counted. "holders →" shows a single CUSIP on its own. Bonds are held as a principal amount, not shares. Options positions are never counted as holdings. 7 further CUSIPs map to this company (mostly bonds) but no 13F filer held them this quarter.

Top holders (84 of 84 · 595017302)

change vs 2026-03-31
#FilerShares / principal% of classValueChange
1VOYA INVESTMENT MANAGEMENT LLC4,997,560—$383.4M+35,205 (+0.7%)
2Capital International Investors3,120,736—$239.4M-899,231 (-22.4%)
3BlackRock, Inc.2,311,148—$177.3M-321,442 (-12.2%)
4Aequim Alternative Investments LP1,700,000—$130.4M+650,000 (+61.9%)
5Calamos Advisors LLC1,458,634—$111.9M-417,231 (-22.2%)
6Magnetar Financial LLC982,230—$75.6M-42,770 (-4.2%)
7Russell Investments Group, Ltd.936,100—$1.4M-46,050 (-4.7%)
8FRANKLIN RESOURCES INC874,837—$67.1M-13,693 (-1.5%)
9TWO SIGMA INVESTMENTS, LP743,151—$57.0M+282,960 (+61.5%)
10VAN ECK ASSOCIATES CORP742,999—$57.0M-57,426 (-7.2%)
11SUSQUEHANNA ADVISORS GROUP, INC.700,000—$53.7MNEW
12AMERIPRISE FINANCIAL INC687,100—$52.7M-159,900 (-18.9%)
13ADVENT CAPITAL MANAGEMENT /DE/603,716—$46.5M-157,018 (-20.6%)
14MacKay Shields LLC603,491—$46.5M+2,444 (+0.4%)
15Weiss Asset Management LP600,000—$46.1MNEW
16MIRAE ASSET GLOBAL ETFS HOLDINGS Ltd.563,198—$43.2M-150,136 (-21.0%)
17CSS LLC/IL558,552—$43.0MNEW
18Walleye Capital LLC500,000—$38.5MNEW
19STATE STREET CORP459,769—$35.3M+75,000 (+19.5%)
20Portman Square Capital LLP450,000—$34.7M-725,000 (-61.7%)
21FMR LLC334,467—$25.7M+6,167 (+1.9%)
22BANK OF AMERICA CORP /DE/308,577—$23.7M+5,632 (+1.9%)
23Alberta Investment Management Corp300,000—$23.0M—
24INFRASTRUCTURE CAPITAL ADVISORS, LLC267,511—$20.5MNEW
25WOLVERINE ASSET MANAGEMENT LLC264,806—$20.3M+174,963 (+194.7%)
26TPG GP A, LLC250,000—$19.2M+100,000 (+66.7%)
27Thrivent Financial for Lutherans248,469—$19.1M-36,550 (-12.8%)
28CITIGROUP INC238,922—$18.3M+119,996 (+100.9%)
29LORD, ABBETT & CO. LLC219,803—$16.9M-1,862 (-0.8%)
30Nuveen, LLC200,000—$15.3M-50,000 (-20.0%)
31SSI INVESTMENT MANAGEMENT LLC182,325—$14.0M+6,000 (+3.4%)
32SCHRODER INVESTMENT MANAGEMENT GROUP170,650—$12.8M—
33Sculptor Capital LP170,077—$13.1M-3,976 (-2.3%)
34MORGAN STANLEY169,369—$13.0M-179,710 (-51.5%)
35Point72 Asset Management, L.P.145,000—$11.1M—
36GABELLI FUNDS LLC127,500—$9.8M-28,500 (-18.3%)
37BlueCrest Capital Management Ltd117,288—$9.0M-108,665 (-48.1%)
38JANE STREET GROUP, LLC69,439—$5.3M+8,829 (+14.6%)
39Invesco Ltd.60,000—$4.6M-27,500 (-31.4%)
40Nicholas Investment Partners, LP50,860—$3.9M—
41LAFFER TENGLER INVESTMENTS, INC.50,820—$3.9M-935 (-1.8%)
42Janney Montgomery Scott LLC48,487—$3.7M-2,567 (-5.0%)
43Jefferies Financial Group Inc.47,133—$3.6M+27,659 (+142.0%)
44JPMORGAN CHASE & CO44,448—$2.5M-66,352 (-59.9%)
45D. E. Shaw & Co., Inc.40,000—$3.1MNEW
46GOLDMAN SACHS GROUP INC36,576—$2.8M-7,000 (-16.1%)
47BARCLAYS PLC27,862—$2.1M-4,557 (-14.1%)
48WELLS FARGO & COMPANY/MN26,834—$2.1M-97,900 (-78.5%)
49Elequin Capital, LP19,750—$1.5M-43,614 (-68.8%)
50Uniplan Investment Counsel, Inc.18,716—$1.4M-282 (-1.5%)
51HRT FINANCIAL LP18,707—$1.4MNEW
52UBS Group AG14,809—$1.1M+968 (+7.0%)
53Calamos Wealth Management LLC12,557—$963K+1,158 (+10.2%)
54Dakota Wealth Management11,060—$848K-500 (-4.3%)
55BRASADA CAPITAL MANAGEMENT, LP10,939—$839K+7,427 (+211.5%)
56TRED AVON FAMILY WEALTH, LLC10,740—$824K-5,085 (-32.1%)
57LPL Financial LLC10,577—$811K-632 (-5.6%)
58Central Pacific Bank - Trust Division9,140—$701K—
59Samalin Investment Counsel, LLC8,746—$671K-3,488 (-28.5%)
60OPPENHEIMER & CO INC8,580—$658K+680 (+8.6%)
61Essex Financial Services, Inc.8,045—$617K-2,925 (-26.7%)
62Capital International, Inc./CA/7,000—$537K-32,200 (-82.1%)
63Farther Finance Advisors, LLC6,564—$503K+4,795 (+271.1%)
64GAMCO INVESTORS, INC. ET AL6,000—$460K-1,000 (-14.3%)
65Principle Wealth Partners LLC4,850—$372K-1,335 (-21.6%)
66SEI INVESTMENTS CO4,360—$334K—
67BANK OF MONTREAL /CAN/4,065—$312K-743 (-15.5%)
68ENVESTNET ASSET MANAGEMENT INC3,839—$294K+202 (+5.6%)
69SUSQUEHANNA INTERNATIONAL GROUP, LLP3,769—$289K-1,960 (-34.2%)
70WEDBUSH SECURITIES INC3,495—$268K-150 (-4.1%)
71LAZARD ASSET MANAGEMENT LLC3,125—$48—
72OPPENHEIMER ASSET MANAGEMENT INC.3,124—$240KNEW
73&PARTNERS3,118—$239KNEW
74UHLMANN PRICE SECURITIES, LLC2,790—$214KNEW
75Ares Systematic Credit Ltd2,747—$211K-3,133 (-53.3%)
76ROYAL BANK OF CANADA1,734—$133K+589 (+51.4%)
77Tower Research Capital LLC (TRC)648—$50KNEW
78FIFTH THIRD BANCORP572—$44K—
79WHITTIER TRUST CO490—$36K—
80SUMMIT SECURITIES GROUP LLC440—$34K-499 (-53.1%)
81High Note Wealth, LLC250—$19K—
82LANARK FINANCIAL, INC.190—$15KNEW
83NORTHWESTERN MUTUAL WEALTH MANAGEMENT CO95—$7KNEW
84TD PRIVATE CLIENT WEALTH LLC12—$921—
Exited since 2026-03-31 (10 filers; largest 10 shown)
Shaolin Capital Management LLC−450,000
HIGHBRIDGE CAPITAL MANAGEMENT LLC−150,000
RATIONAL ADVISORS, INC.−68,000
PIER 88 INVESTMENT PARTNERS LLC−68,000
Ethic Inc.−57,965
BOURGEON CAPITAL MANAGEMENT LLC−15,000
MILLENNIUM MANAGEMENT LLC−3,654
Ground Swell Capital, LLC−3,522
Annis Gardner Whiting Capital Advisors, LLC−1,080
Rockefeller Capital Management L.P.−500

Large holders from 13D/13G (latest per reporting person, last 2 years)

Filed when a holder crosses 5% or changes materially, so often more current than the quarter-end 13F. Percentages are the filer's own, against the share count they used.

Reporting personFormFiledEventShares% of class
Invesco Ltd.SCHEDULE 13G/A2026-07-152026-03-3126,543,3734.9%
Vanguard Capital ManagementSCHEDULE 13G2026-04-302026-03-3140,620,8847.5%
Vanguard Portfolio ManagementSCHEDULE 13G2026-04-292026-03-3132,469,3416%
The Vanguard GroupSCHEDULE 13G/A2026-03-272026-03-1300%
BlackRock, Inc.SCHEDULE 13G/A2026-02-062026-01-3154,307,42510%
JPMORGAN CHASE & CO.SCHEDULE 13G/A2025-06-052025-05-304,960,2350.9%
STATE STREET CORPORATIONSCHEDULE 13G2025-02-052024-12-3127,720,2335.2%

Source: SEC Form 13F-HR information tables for the quarter ending 2026-06-30 (filed within 45 days of quarter end; amendments applied; values normalised to dollars), the share count from the company's latest 10-K/10-Q XBRL cover page, and Schedule 13D/13G filings. Each row is a legal 13F filer as filed — related entities (e.g. Vanguard's advisers) are not merged. Retail brokerage accounts are not reported on 13F, so the remainder is mostly retail and insiders.