ABM INDUSTRIES INC /DE/ - Common Stock (ABM)

Historical Holders from Q1 2014 to Q3 2025

Symbol
ABM on NYSE
CUSIP
000957100
Type / Class
Equity / Common Stock
Shares outstanding
62.1M
All holders as of June 30, 2025
Q2 2025
Total 13F shares, excl. options
59.9M
Holdings value
$2.83B
% of all portfolios
0.003%
Grand Portfolio weight change
+0%
Number of holders
316
Number of buys
163
Number of sells
-141
Average Value change %
+0%
Average buys %
+0.001%
Average sells %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of ABM INDUSTRIES INC /DE/ - Common Stock (ABM)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 14.6% $460M 9.06M BlackRock, Inc. Jun 30, 2025

Institutional Holders of ABM INDUSTRIES INC /DE/ - Common Stock (ABM)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 8.61K $397K -$4.47K $46.10 2
2025 Q2 59.9M $2.83B +$78.3M $47.21 316
2025 Q1 58.5M $2.77B -$13.9M $47.36 303
2024 Q4 58.8M $3.01B +$104M $51.18 290
2024 Q3 56.6M $2.99B -$169M $52.76 302
2024 Q2 60M $3.04B +$128M $50.57 291
2024 Q1 57.7M $2.57B -$48.3M $44.62 301
2023 Q4 180K $8.05M +$665K $44.83 4
2023 Q3 57.9M $2.32B -$88.5M $40.01 242
2023 Q2 59.9M $2.56B -$115M $42.65 255
2023 Q1 62.3M $2.8B +$50.3M $44.94 242
2022 Q4 60.6M $2.69B -$1.39M $44.42 240
2022 Q3 59.1M $2.26B -$86.6M $38.23 236
2022 Q2 62.1M $2.7B +$21.1M $43.42 248
2022 Q1 63M $2.9B -$17.3M $46.04 267
2021 Q4 63.5M $2.59B +$12.8M $40.85 261
2021 Q3 63M $2.83B +$56.1M $45.01 262
2021 Q2 62.5M $2.77B -$2.12M $44.35 262
2021 Q1 62.5M $3.19B -$5.36M $51.01 243
2020 Q4 61.3M $2.32B +$13.9M $37.84 222
2020 Q3 61M $2.24B -$32.7M $36.66 219
2020 Q2 61.7M $2.24B -$37.2M $36.30 206
2020 Q1 64.2M $1.56B -$80.2M $24.36 190
2019 Q4 66.2M $2.5B +$22.2M $37.71 202
2019 Q3 65.5M $2.38B -$28.1M $36.32 209
2019 Q2 66.3M $2.65B +$6.04M $40.00 205
2019 Q1 67.1M $2.44B -$79.1M $36.35 193
2018 Q4 69.4M $2.23B +$57.9M $32.11 195
2018 Q3 67.4M $2.17B +$15.8M $32.25 183
2018 Q2 66M $1.92B -$21M $29.18 195
2018 Q1 67.8M $2.27B +$82.3M $33.48 200
2017 Q4 64.7M $2.44B +$84.3M $37.72 191
2017 Q3 62M $2.59B +$445M $41.71 187
2017 Q2 51.3M $2.13B -$7.37M $41.52 199
2017 Q1 51.5M $2.25B +$323M $43.60 207
2016 Q4 51.1M $2.09B +$3.64M $40.84 219
2016 Q3 51.1M $2.03B +$4.55M $39.70 205
2016 Q2 50.2M $1.83B +$3.93M $36.48 202
2016 Q1 51.3M $1.66B +$13.8M $32.31 212
2015 Q4 50.8M $1.45B -$12.8M $28.47 195
2015 Q3 51.6M $1.41B -$12.8M $27.31 213
2015 Q2 48.5M $1.59B +$78.6M $32.87 194
2015 Q1 46.1M $1.47B +$29.3M $31.86 178
2014 Q4 48M $1.37B -$7.08M $28.65 168
2014 Q3 48.3M $1.24B +$1.39M $25.69 171
2014 Q2 45.9M $1.24B -$50.4M $26.98 161
2014 Q1 46.4M $1.33B +$38.2M $28.74 159