ACUITY BRANDS INC - Common Stock (AYI)

Historical Holders from Q1 2014 to Q1 2025

Symbol
AYI on NYSE
CUSIP
00508Y102
Type / Class
Equity / Common Stock
Shares outstanding
31M
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
30.2M
Holdings value
$8.82B
% of all portfolios
0.007%
Grand Portfolio weight change
+0%
Number of holders
538
Number of buys
256
Number of sells
-202
Average Value change %
0%
Average buys %
+0.002%
Average sells %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of ACUITY BRANDS INC - Common Stock (AYI)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 8.9% $736M 2.76M BlackRock, Inc. Mar 31, 2025
FMR LLC 6.4% $535M 2M FMR LLC Dec 31, 2024

Institutional Holders of ACUITY BRANDS INC - Common Stock (AYI)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 248K $65.3M -$27.4M $263.35 48
2024 Q4 30.2M $8.82B +$228M $292.13 538
2024 Q3 29.3M $8.07B -$124M $275.39 473
2024 Q2 30M $7.23B +$311M $241.44 479
2024 Q1 28.5M $7.64B -$405M $268.73 469
2023 Q4 30.1M $6.16B -$68.2M $204.83 421
2023 Q3 30M $5.11B +$45.8M $170.31 385
2023 Q2 30.9M $5.04B +$45M $163.08 393
2023 Q1 30.4M $5.54B +$99.8M $182.73 391
2022 Q4 30.2M $5.01B +$94.9M $165.61 376
2022 Q3 30.4M $4.79B -$111M $157.47 337
2022 Q2 30.6M $4.72B -$124M $154.04 326
2022 Q1 31.5M $5.94B -$75.4M $189.30 368
2021 Q4 32.3M $6.81B -$361M $211.72 387
2021 Q3 33M $5.72B -$170M $173.37 334
2021 Q2 34.9M $6.53B -$446M $187.03 353
2021 Q1 37.1M $6.12B -$33.2M $165.00 336
2020 Q4 36.2M $4.38B -$163M $121.09 325
2020 Q3 36.4M $3.73B +$175M $102.35 320
2020 Q2 35.2M $3.37B +$43.1M $95.74 328
2020 Q1 34.8M $2.98B -$116M $85.66 332
2019 Q4 37.2M $5.12B +$115M $138.00 373
2019 Q3 34.6M $4.65B -$174M $134.79 366
2019 Q2 35.1M $4.84B +$68.2M $137.91 381
2019 Q1 35.3M $4.23B -$76.5M $120.01 384
2018 Q4 34.3M $3.94B -$454M $114.95 362
2018 Q3 40.5M $6.36B -$84.2M $157.20 417
2018 Q2 41.8M $4.85B -$443M $115.87 403
2018 Q1 44.1M $6.14B -$151M $139.19 394
2017 Q4 44.9M $7.91B -$48M $176.00 405
2017 Q3 45.3M $7.75B -$34.4M $171.28 390
2017 Q2 46.2M $9.38B +$286M $203.28 425
2017 Q1 44.7M $9.12B +$1.37B $204.00 448
2016 Q4 41.9M $9.67B +$147M $230.86 492
2016 Q3 40.9M $10.8B -$94.4M $264.60 478
2016 Q2 41.3M $10.2B -$151M $247.96 479
2016 Q1 42M $9.15B +$359M $218.14 420
2015 Q4 40.3M $9.42B -$46.3M $233.80 436
2015 Q3 40.3M $7.08B +$190M $175.58 396
2015 Q2 39M $7.02B +$82.6M $179.98 369
2015 Q1 39M $6.57B -$213M $168.16 329
2014 Q4 40.4M $5.65B -$64.5M $140.07 293
2014 Q3 41M $4.82B +$2.69M $117.71 253
2014 Q2 40.5M $5.59B +$27.9M $138.25 271
2014 Q1 40.4M $5.35B -$69.9M $132.57 281