British American Tobacco PLC - Common Stock - Foreign Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q3 2025

Type / Class
Equity / Common Stock - Foreign
Price per share
$53.08
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
1,484,323
Total reported value
$78,792,588
% of total 13F portfolios
0%
Share change
+35,721
Value change
+$1,896,185
Number of holders
1
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 1 institutional investors reported holding 1,484,323 shares of British American Tobacco PLC - Common Stock - Foreign.

Institutional Holders of British American Tobacco PLC - Common Stock - Foreign across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q3 1,484,323 $78,792,588 +$1,896,185 $53.08 1
2025 Q2 1,448,602 $68,858,902 +$68,834,856 $47.53 1
2025 Q1 505 $20,757 +$1,274 $41.10 1
2024 Q4 474 $17,090 +$9,591 $36.05 1
2024 Q3 208 $7,575 -$3,000 $36.42 1
2024 Q2 322 $9,891 +$6,205 $30.72 2
2024 Q1 120 $3,644 +$3,644 $30.37 1
2023 Q4 0 $0 -$38,531 $53.08 0
2023 Q3 1,225 $38,531 +$38,531 $31.45 1
2019 Q3 0 $0 -$17,528 $53.08 0
2019 Q2 501 $17,528 $0 $34.99 1
2019 Q1 501 $20,851 +$2,081 $41.62 1
2018 Q4 451 $14,360 $0 $31.84 1
2018 Q3 451 $21,081 $0 $46.74 1
2018 Q2 451 $22,805 $0 $50.57 1
2018 Q1 451 $26,135 $0 $57.95 1
2017 Q4 451 $30,614 $0 $67.88 1
2017 Q3 451 $28,270 $0 $62.68 1
2017 Q2 451 $30,662 $0 $67.99 1
2017 Q1 451 $29,890 +$26,576 $66.27 1
2016 Q4 50 $2,855 -$10,739,139 $57.10 1
2016 Q3 167,904 $10,742,000 +$276,765 $63.98 1
2016 Q2 163,578 $10,542,000 -$5,254,242 $64.45 1
2016 Q1 245,107 $14,407,000 $0 $58.78 1
2015 Q4 245,107 $13,625,000 -$1,484,520 $55.59 1
2015 Q3 271,831 $14,977,956 -$135,049 $55.14 2
2015 Q2 274,282 $14,694,269 -$3,294,870 $53.64 2
2015 Q1 337,465 $17,459,466 +$2,045,459 $51.78 3
2014 Q4 297,975 $16,260,722 +$745,763 $54.57 2
2014 Q3 3,000 $169,344 +$50,803 $56.45 1
2014 Q2 283,409 $16,859,883 +$16,734,988 $59.48 2
2014 Q1 2,100 $116,776 +$5,561 $55.61 1