AAON, INC. - Common Stock (AAON)

Historical Holders from Q1 2014 to Q3 2025

Symbol
AAON on Nasdaq
CUSIP
000360206
Type / Class
Equity / Common Stock
Shares outstanding
81.7M
All holders as of September 30, 2025
Q3 2025
Total 13F shares, excl. options
72.6M
Holdings value
$6.79B
% of all portfolios
0.009%
Grand Portfolio weight change
+0.001%
Number of holders
387
Number of buys
206
Number of sells
-199
Average Value change %
+0%
Average buys %
+0.003%
Average sells %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of AAON, INC. - Common Stock (AAON)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 7.7% -11.1% $528M -$68M 6.27M -11.4% BlackRock, Inc. Mar 31, 2025
WELLINGTON MANAGEMENT GROUP LLP 5.8% $443M 4.74M Wellington Management Group LLP Sep 30, 2025

Institutional Holders of AAON, INC. - Common Stock (AAON)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 72.6M $6.79B +$914M $93.44 387
2025 Q2 63.3M $4.67B +$169M $73.75 390
2025 Q1 60.8M $4.75B +$88.1M $78.13 375
2024 Q4 57.9M $6.82B +$23M $117.68 412
2024 Q3 57.7M $6.23B -$103M $107.84 375
2024 Q2 58.9M $5.13B +$157M $87.24 357
2024 Q1 57.2M $5.04B -$44.4M $88.10 326
2023 Q4 327K $24.2M +$8.1M $73.87 4
2023 Q3 57.4M $3.26B +$1.01B $56.87 285
2023 Q2 38.7M $3.67B +$29.2M $94.81 297
2023 Q1 38.3M $3.71B +$158M $96.69 272
2022 Q4 36.7M $2.76B +$57.3M $75.32 246
2022 Q3 31M $1.67B -$18.7M $53.88 207
2022 Q2 30.9M $1.69B +$8.04M $54.76 191
2022 Q1 30.9M $1.72B +$10.7M $55.73 189
2021 Q4 37.4M $2.96B +$62.1M $79.43 206
2021 Q3 36.7M $2.4B -$18.6M $65.34 200
2021 Q2 36.4M $2.28B -$15.4M $62.59 200
2021 Q1 37.2M $2.6B -$30.2M $70.01 204
2020 Q4 37.6M $2.5B -$10.5M $66.63 194
2020 Q3 31.9M $1.92B +$36M $60.25 185
2020 Q2 30.7M $1.67B +$30.8M $54.29 185
2020 Q1 29.6M $1.43B -$28.7M $48.32 163
2019 Q4 29.2M $1.44B +$7.98M $49.41 157
2019 Q3 36.1M $1.66B +$55.8M $45.94 160
2019 Q2 34.9M $1.75B +$8.62M $50.18 159
2019 Q1 35.1M $1.62B +$4.75M $46.18 158
2018 Q4 35.1M $1.23B -$25.4M $35.06 148
2018 Q3 35.7M $1.35B +$42.9M $37.80 149
2018 Q2 37.7M $1.25B +$46.7M $33.25 148
2018 Q1 36.5M $1.42B -$153K $39.00 151
2017 Q4 36.2M $1.33B +$22.5M $36.70 148
2017 Q3 36M $1.24B +$48.6M $34.47 140
2017 Q2 34.3M $1.26B -$12.3M $36.85 138
2017 Q1 34.2M $1.21B +$195M $35.35 141
2016 Q4 33.6M $1.11B +$61.6M $33.05 152
2016 Q3 31.6M $911M +$12.3M $28.82 143
2016 Q2 31M $853M -$7.03M $27.51 140
2016 Q1 31.7M $887M +$5.05M $28.00 138
2015 Q4 31.5M $731M -$73.9M $23.22 124
2015 Q3 34.7M $672M +$7.38M $19.38 119
2015 Q2 33.2M $747M -$9.75M $22.52 127
2015 Q1 34.1M $837M +$49.2M $24.53 128
2014 Q4 32.2M $721M -$19.6M $22.39 124
2014 Q3 33.2M $565M +$187M $17.01 118
2014 Q2 19.9M $667M +$50.3K $33.52 120
2014 Q1 21.4M $596M -$11.1M $27.87 118