YUM BRANDS INC COM

YUM BRANDS INC COM is a security (CUSIP 988498101) tracked across SEC portfolio filings. 1,514 institutional managers reported $33.9B on Form 13F as of 2026-06-30; 86 registered fund positions totaling $4.4B via N-PORT as of 2026-05-31.

Summary

Top institutional holders (Form 13F)

Showing 15 of 1,514 managers by value.

ManagerLocationValueShares
VANGUARD GROUP INCValley Forge, PA$5.3B35,098,553
BlackRock, Inc.New York, NY$4.1B26,436,229
JPMORGAN CHASE & CONEW YORK, NY$3.0B19,370,909
Capital International InvestorsLos Angeles, CA$2.6B16,825,929
STATE STREET CORPBOSTON, MA$2.0B12,984,953
GEODE CAPITAL MANAGEMENT, LLCBOSTON, MA$1.3B8,328,369
MORGAN STANLEYNEW YORK, NY$653.9M4,205,614
BANK OF AMERICA CORP /DE/CHARLOTTE, NC$591.0M3,800,842
LOOMIS SAYLES & CO L PBOSTON, MA$581.7M3,741,574
UBS Group AGZurich, V8$553.8M2,507,885
NORTHERN TRUST CORPCHICAGO, IL$502.0M3,228,885
CITADEL ADVISORS LLCMIAMI, FL$470.2M2,854,992
FMR LLCBOSTON, MA$405.7M2,609,162
Sustainable Growth Advisers, LPSTAMFORD, CT$351.4M2,260,403
UBS ASSET MANAGEMENT AMERICAS INCCHICAGO, IL$335.5M2,158,020

Top fund holders (N-PORT)

Showing 15 of 86 fund positions by value.

FundRegistrantValue% of fund
Washington Mutual Investors FundWashington Mutual Investors Fund$1.4B65.07%
State Street(R) SPDR(R) S&P 500(R) ETF TrustState Street(R) SPDR(R) S&P 500(R) ETF Trust$504.1M7.74%
Capital Income BuilderCapital Income Builder$414.1M32.66%
New Perspective FundNew Perspective Fund$408.2M26.72%
T. Rowe Price Mid-Cap Growth Fund, Inc.T. ROWE PRICE MID-CAP GROWTH FUND, INC.$402.6M178.70%
Invesco S&P 500 Equal Weight ETFInvesco Exchange-Traded Fund Trust$172.0M19.58%
American Funds Fundamental InvestorsAmerican Funds Fundamental Investors$146.6M9.52%
T. Rowe Price Dividend Growth Fund, Inc.T. ROWE PRICE DIVIDEND GROWTH FUND, INC.$134.6M59.40%
Growth Fund of AmericaGrowth Fund of America$70.4M1.95%
SRH Total Return Fund, Inc.SRH Total Return Fund, Inc.$62.9M291.89%
U.S. Global Leaders Growth FundJohn Hancock Capital Series$58.4M461.39%
AB Relative Value PortfolioAB VARIABLE PRODUCTS SERIES FUND, INC.$54.8M526.72%
New World Fund IncNew World Fund Inc$53.6M6.28%
American Funds Global Insight FundAmerican Funds Global Insight Fund$37.3M18.11%
ACAP Strategic FundACAP Strategic Fund$35.4M34.20%

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