William Blair Investment Management Boosts Stake in Revolve Group

The institutional investor increased its holdings in the online fashion retailer by 3.7% in the third quarter.

Published on Mar. 2, 2026

William Blair Investment Management LLC increased its stake in Revolve Group, Inc. (NYSE:RVLV) by 3.7% in the third quarter, according to a recent SEC filing. The institutional investor now owns approximately 1.84 million shares of the company's stock, worth around $39.2 million, making it one of Revolve Group's largest shareholders.

Why it matters

Revolve Group is a leading online fashion retailer that has seen strong growth in recent years, driven by its focus on millennial and Gen Z consumers. The increase in William Blair's stake suggests the investment firm sees continued upside potential in the company's stock.

The details

According to the filing, William Blair Investment Management acquired an additional 65,843 shares of Revolve Group during the third quarter, bringing its total holdings to 1,841,578 shares. This represents approximately 2.58% of Revolve Group's outstanding stock. The investment firm has been a long-time investor in the company, first taking a position in 2019.

  • William Blair Investment Management increased its Revolve Group holdings in the third quarter of 2025.

The players

William Blair Investment Management LLC

An institutional investment management firm that has been a major shareholder of Revolve Group since 2019.

Revolve Group, Inc.

An online fashion retailer that primarily serves millennial and Gen Z consumers through its e-commerce platform.

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The takeaway

William Blair's increased stake in Revolve Group suggests the investment firm remains bullish on the online fashion retailer's long-term growth prospects, even as the stock has faced some volatility in recent quarters. This could signal continued institutional support for Revolve Group as it looks to expand its customer base and solidify its position in the competitive e-commerce fashion landscape.