Analog Devices Inc - Common Stock (ADI)

Historical Holders from Q1 2014 to Q1 2025

Symbol
ADI on Nasdaq
CUSIP
032654105
Type / Class
Equity / Common Stock
Shares outstanding
496M
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
436M
Holdings value
$92.8B
% of all portfolios
0.056%
Grand Portfolio weight change
+0.004%
Number of holders
1683
Number of buys
708
Number of sells
-702
Average Value change %
0%
Average buys %
+0.005%
Average sells %
-0.008%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of Analog Devices Inc - Common Stock (ADI)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
VANGUARD GROUP INC 10% $10.4B 49.6M The Vanguard Group Feb 28, 2025
JPMORGAN CHASE & CO 4.3% $4.56B 21.8M JPMORGAN CHASE & CO. Feb 28, 2025

Institutional Holders of Analog Devices Inc - Common Stock (ADI)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 6.98M $1.41B +$61.2M $201.67 297
2024 Q4 436M $92.8B +$2.41B $212.46 1,683
2024 Q3 425M $97.8B -$3.42B $230.17 1,645
2024 Q2 439M $100B +$2.93B $228.26 1,642
2024 Q1 426M $84.3B -$1.73B $197.79 1,562
2023 Q4 430M $85.4B +$550M $198.56 1,545
2023 Q3 425M $74.5B -$603M $175.09 1,430
2023 Q2 425M $82.8B -$1.86B $194.81 1,498
2023 Q1 432M $85.1B +$273M $197.22 1,501
2022 Q4 429M $70.3B -$1.16B $164.03 1,393
2022 Q3 433M $60.4B -$71.2M $139.34 1,285
2022 Q2 434M $63.5B +$140M $146.09 1,290
2022 Q1 435M $71.8B -$605M $165.18 1,338
2021 Q4 451M $79.2B -$2.39B $175.77 1,356
2021 Q3 464M $77.7B +$15.8B $167.48 1,279
2021 Q2 370M $63.6B +$2.2B $172.16 1,133
2021 Q1 358M $55.5B +$789M $155.08 1,103
2020 Q4 351M $51.8B +$1.38B $147.73 1,071
2020 Q3 337M $39.3B +$2.85B $116.74 976
2020 Q2 313M $38.2B +$149M $122.64 951
2020 Q1 308M $27.6B -$60.6M $89.65 880
2019 Q4 320M $38B -$333M $118.84 948
2019 Q3 324M $36.2B -$203M $111.73 896
2019 Q2 326M $36.8B -$284M $112.87 895
2019 Q1 334M $35.2B -$328M $105.27 905
2018 Q4 337M $28.9B -$8.68M $85.83 848
2018 Q3 330M $30.5B +$558M $92.46 857
2018 Q2 333M $32B +$734M $95.92 879
2018 Q1 307M $27.9B -$121M $91.13 845
2017 Q4 327M $29.1B +$293M $89.03 844
2017 Q3 323M $27.8B +$215M $86.17 773
2017 Q2 321M $25B -$96.9M $77.80 741
2017 Q1 318M $26.1B +$4.58B $81.95 744
2016 Q4 283M $20.5B +$550M $72.62 627
2016 Q3 276M $17.7B +$680M $64.45 574
2016 Q2 264M $15B -$121M $56.64 536
2016 Q1 258M $15.3B -$260M $59.19 529
2015 Q4 270M $14.9B -$334M $55.32 570
2015 Q3 277M $15.6B +$337M $56.41 540
2015 Q2 259M $16.6B -$140M $64.19 520
2015 Q1 269M $16.9B +$343M $63.00 501
2014 Q4 264M $14.6B -$32.7M $55.52 501
2014 Q3 267M $13.2B -$71.5M $49.49 481
2014 Q2 265M $14.3B +$22.1M $54.07 507
2014 Q1 264M $14B -$120M $53.14 488