STOCK TITAN

Vanguard Portfolio Management (NASDAQ: TEAM) reports 5.86% ownership

Filing Impact
(Moderate)
Filing Sentiment
(Neutral)
Form Type
SCHEDULE 13G

Rhea-AI Filing Summary

Vanguard Portfolio Management reports beneficial ownership of 9,950,824 shares of Atlassian Corp Common Stock (CUSIP 049468101), representing 5.86% of the class as of 03/31/2026. The filing lists 56,461 shares with sole voting power and 9,950,824 shares with sole dispositive power. The disclosure states these holdings reflect securities managed by Vanguard Portfolio Management LLC and affiliated investment groups and funds.

Positive

  • None.

Negative

  • None.

Insights

Large passive stake disclosed: Vanguard holds 5.86% of Atlassian common stock.

Schedule 13G indicates an institutional, likely passive, ownership position of 9,950,824 shares as of 03/31/2026. The filing attributes dispositive authority to Vanguard Portfolio Management LLC and references affiliated Vanguard entities and client funds.

Ownership above 5% can be a liquidity and governance signal; subsequent filings could show changes. Timing and trading intent are not indicated in this excerpt.

Voting control is minimal relative to dispositive power; sole voting power is 56,461 shares.

The filing reports 56,461 shares with sole voting power and 9,950,824 shares with sole dispositive power, showing Vanguard primarily exercises disposal rather than voting authority across most held shares.

Watch for any Schedule 13D/A or proxy disclosures that would indicate an active governance intent; this filing describes passive beneficial ownership.

Shares beneficially owned 9,950,824 shares Amount beneficially owned as of 03/31/2026
Percent of class 5.86% Percentage of Atlassian common stock outstanding
Sole voting power 56,461 shares Sole power to vote reported in Item 4
Sole dispositive power 9,950,824 shares Sole power to dispose reported in Item 4
CUSIP 049468101 Atlassian Corp Common Stock
beneficially owned financial
"Amount beneficially owned: 9950824"
Beneficially owned describes securities or assets where a person has the economic rights and control—such as the right to receive dividends and to direct voting—even if legal title is held in another name. Think of it like having the keys and using a car that’s registered to someone else: you get the benefits and make decisions. Investors care because beneficial ownership reveals who truly controls value and voting power, affecting corporate decisions and takeover dynamics.
sole dispositive power regulatory
"Sole power to dispose or to direct the disposition of: 9950824"
Sole dispositive power is the exclusive legal authority to decide what happens to a security — for example, whether to sell, transfer, or retain shares — without needing anyone else’s permission. Investors care because it signals who truly controls the economic outcome of an investment: like holding the only key to a safe, the holder can realize gains or losses and may trigger regulatory reporting, insider rules, or influence over corporate ownership.
Schedule 13G regulatory
"Item 1. | (a) | Name of issuer: Atlassian Corp"
A Schedule 13G is a formal document that investors file with the government when they acquire a large ownership stake in a company, usually for investment purposes rather than control. It helps keep the public informed about who owns significant parts of a company's shares, which can influence how the company is managed and how investors make decisions. Filing this schedule is important for transparency and understanding the ownership landscape of publicly traded companies.





049468101

(CUSIP Number)
03/31/2026

(Date of Event Which Requires Filing of this Statement)


Check the appropriate box to designate the rule pursuant to which this Schedule is filed:
Rule 13d-1(b)
Rule 13d-1(c)
Rule 13d-1(d)




schemaVersion:


SCHEDULE 13G




Comment for Type of Reporting Person: In accordance with SEC Release No. 34-39538 (January 12, 1998), this Schedule 13G reflects the securities beneficially owned, or deemed to be beneficially owned, by Vanguard Portfolio Management LLC and the following affiliates of Vanguard Portfolio Management LLC or business divisions of such affiliates: Vanguard Fiduciary Trust Company and Vanguard Global Advisers, LLC. This Schedule 13G includes securities held by Vanguard funds, or sleeves thereof, over which Vanguard Portfolio Management LLC exercises dispositive power, in addition to securities held by clients over which the affiliates or business divisions of such affiliates indicated above exercise dispositive and/or voting power. This Schedule 13G does not include securities, if any, beneficially owned by other subsidiaries or affiliates of Vanguard Portfolio Management LLC, or business divisions of such subsidiaries whose ownership of securities is disaggregated from that of the reporting business unit in accordance with such release.


SCHEDULE 13G



Vanguard Portfolio Management
Signature:Ashley Grim
Name/Title:Head of Global Fund Administration
Date:04/28/2026

FAQ

What stake does Vanguard Portfolio Management report in Atlassian (TEAM)?

Vanguard Portfolio Management reports beneficial ownership of 9,950,824 shares, representing 5.86% of Atlassian common stock as of 03/31/2026. The filing attributes dispositive power to Vanguard and affiliated funds.

How many shares does Vanguard have voting versus dispositive power over?

The filing shows Vanguard has sole voting power for 56,461 shares and sole dispositive power for 9,950,824 shares as of 03/31/2026. Shared voting and dispositive powers are listed as zero.

Does this Schedule 13G indicate Vanguard intends to influence Atlassian's management?

No active intent is stated in the excerpt; the Schedule 13G reports passive beneficial ownership of 5.86%. The filing does not disclose any plans to engage in control or proxy actions.

Who filed the Schedule 13G for Atlassian on behalf of Vanguard?

The filing identifies Vanguard Portfolio Management as the filer and is signed by Ashley Grim, Head of Global Fund Administration, dated 04/28/2026 for holdings as of 03/31/2026.

Are the shares reported held for Vanguard funds or other clients?

The disclosure states holdings include securities held by Vanguard funds and other managed accounts over which Vanguard Portfolio Management or affiliates exercise dispositive power. Specific fund-level owners are not listed in the excerpt.