VICR VICOR CORP

NEUTRAL Impact: 3/10 Institutional Cluster
Horizon weeks Processed 3d 19h ago
Institutional cluster: 2 buyers, 3 sellers (mixed)

Executive Summary

A mixed institutional cluster in VICR for Q3 2025 shows two mega-passive buyers (Morgan Stanley and UBS) adding $11.8M in net new holdings, while three sellers (D.E. Shaw, Two Sigma, BofA) trimmed a combined $1.8M. The buying is dominated by passive/index rebalancing, not active conviction, and the selling by quant funds suggests systematic risk reduction rather than a fundamental thesis. The net signal is weak and ambiguous.

Key Financial Metrics

Direction
mixed
Buy Value
$27.3M
Sell Value
$3.0M
Net Flow
$10.0M

Institutional Positions

Net institutional flow: $10.0M

▲ Buyers (2)

InstitutionActionChangePosition ValueValue Δ
Morgan Stanley ADD +35.7% $22.1M $7.3M
UBS DOUBLED +643.6% $5.2M $4.5M

▼ Sellers (3)

InstitutionActionChangePrev ValueValue Δ
D.E. Shaw TRIM -36.2% -$387.4K
Two Sigma TRIM -56.3% -$232.6K
BofA TRIM -34.5% -$1.2M

Actionable Insight

The cluster is dominated by passive rebalancing (Morgan Stanley, UBS, BofA) and quant trimming (D.E. Shaw, Two Sigma), not fundamental active conviction. No clear catalyst or thesis emerges. Monitor next 13F for whether active managers enter or the passive buying accelerates. The 100% win rate on prior VICR reports suggests the stock has strong momentum, but this filing alone does not provide a directional edge.

Key Facts

  • 2 buyers added $11.8M in net new holdings (Morgan Stanley +$7.3M, UBS +$4.5M)
  • 3 sellers trimmed a combined $1.8M (BofA -$1.2M, D.E. Shaw -$387K, Two Sigma -$233K)
  • All buyers are mega-passive managers (index rebalancing), not active funds
  • Sellers include two quant funds (D.E. Shaw, Two Sigma) and one passive manager (BofA)
  • Net aggregate: $27.3M in buyer holdings vs $3.0M in seller holdings — buying dominates in dollar terms but lacks active conviction

Financial Impact

Net institutional buying of approximately $10.0M (buyers added $11.8M, sellers reduced by $1.8M) — small relative to VICR's $12.6B market cap (~0.08% of float)

institutional ownershipfloat

Risk Factors

  • Passive buying may reverse on index rebalancing or fund flows
  • Quant selling could accelerate if systematic models turn negative
  • No active manager participation limits signal quality

Market Snapshot

Exchange
Nasdaq
Sector
Electronic Components, NEC
Analyst Consensus
90% bullish (10 analysts)

Documents Analyzed

This report is based on 1 institutional 13F filing from SEC EDGAR.

DocumentAccession Number
INST-CLUSTER Data (Synthetic)inst-cluster-VICR-2025-Q3
26 reports for VICR
Performance horizon
100% Hit rate 13 of 13 directional calls best @ T+20▲ +57.05%Apr 7, 2026
Filters
Rows
Reports for VICR — sortable, filterable
Type Now
Jun 11, 2026
3d ago
Institutional Cluster
NEUTRAL ★ 3/10
$286.01 awaiting T+20awaiting T+20
May 4, 2026
6w ago
Insider Cluster
NEUTRAL ★ 2/10
$251.02 $328.85▲ +31.01%▲ +25.36%
May 4, 2026
6w ago
Insider Cluster
NEUTRAL ★ 3/10
$251.02 $328.85▲ +31.01%▲ +25.36%
May 1, 2026
6w ago
Insider Cluster
NEUTRAL ★ 2/10
$268.36 $328.85▲ +22.54%▲ +17.26%
May 1, 2026
6w ago
Insider Cluster
NEUTRAL ★ 2/10
$268.36 $328.85▲ +22.54%▲ +17.26%
May 1, 2026
6w ago
Insider Cluster
NEUTRAL ★ 2/10
$268.36 $328.85▲ +22.54%▲ +17.26%
May 1, 2026
6w ago
Insider Cluster
NEUTRAL ★ 2/10
$268.36 $328.85▲ +22.54%▲ +17.26%
May 1, 2026
6w ago
Insider Cluster
NEUTRAL ★ 2/10
$268.36 $328.85▲ +22.54%▲ +17.26%
May 1, 2026
6w ago
Insider Cluster
NEUTRAL ★ 2/10
$268.36 $328.85▲ +22.54%▲ +17.26%
Apr 21, 2026
7w ago
8-K
BULLISH ★ 7/10
$246.24 $249.02▲ +1.13%▼ −3.79%
Showing 10 of 26

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