Glencore 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
$5.17
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
6,036,818
Total reported value
$27,776,481
% of total 13F portfolios
0%
Share change
+164,750
Value change
+$756,894
Number of holders
2
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 2 institutional investors reported holding 6,036,818 shares of Glencore PLC - Common Stock - Foreign.

Institutional Holders of Glencore PLC - Common Stock - Foreign across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q3 6,036,818 $27,776,481 +$756,894 $5.17 2
2025 Q2 5,872,068 $22,927,150 +$5,374,084 $4.81 2
2025 Q1 4,491,549 $16,341,254 -$1,751,859 $4.68 2
2024 Q4 4,975,381 $22,060,602 +$1,009,589 $5.08 2
2024 Q3 4,747,184 $27,145,767 -$281,742 $5.73 2
2024 Q2 4,796,456 $27,351,016 -$34,700,577 $5.70 2
2024 Q1 10,881,821 $59,786,316 +$4,065,074 $5.50 2
2023 Q4 10,141,923 $61,030,214 +$60,584,715 $6.02 2
2023 Q3 74,000 $424,299 -$46,793,985 $5.73 1
2023 Q2 8,363,744 $47,214,646 +$23,068,472 $5.64 2
2023 Q1 4,277,357 $24,514,639 +$7,762,209 $5.73 2
2022 Q4 2,923,003 $19,519,401 +$19,519,481 $6.66 2
2022 Q1 0 $0 -$187,002 $5.17 0
2021 Q4 37,000 $187,000 $0 $5.05 1
2021 Q3 37,000 $175,000 -$10,700,000 $4.73 1
2021 Q2 2,537,000 $10,858,000 $0 $4.28 2
2021 Q1 2,537,000 $9,945,000 +$9,944,999 $3.92 2
2016 Q4 0 $0 -$238,411 $5.17 0
2016 Q3 86,550 $238,411 -$84,000 $2.76 2
2016 Q2 117,050 $238,223 $0 $2.04 2
2016 Q1 117,050 $264,765 $0 $2.26 2
2015 Q4 117,050 $156,081 -$581,235 $1.33 2
2015 Q3 536,165 $741,631 -$103,165,120 $1.38 3
2015 Q2 26,110,958 $104,834,083 -$647,903 $4.01 4
2015 Q1 26,272,333 $111,503,343 -$95,803,395 $4.24 4
2014 Q4 48,845,288 $227,572,750 -$2,959,315 $4.66 4
2014 Q3 49,004,153 $272,646,721 +$60,867,455 $5.56 3
2014 Q2 38,540,354 $214,531,820 +$53,802,781 $5.57 4
2014 Q1 28,874,849 $148,651,614 +$10,922,456 $5.15 3