APPLIED INDUSTRIAL TECHNOLOGIES INC - Common Stock (AIT)

Historical Holders from Q1 2014 to Q3 2025

Symbol
AIT on NYSE
CUSIP
03820C105
Type / Class
Equity / Common Stock
Shares outstanding
38.1M
All holders as of June 30, 2025
Q2 2025
Total 13F shares, excl. options
35.9M
Holdings value
$8.33B
% of all portfolios
0.008%
Grand Portfolio weight change
0%
Number of holders
534
Number of buys
285
Number of sells
-244
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 APPLIED INDUSTRIAL TECHNOLOGIES INC - Common Stock (AIT)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 8.6% $760M 3.28M BlackRock, Inc. Jun 30, 2025
FMR LLC 3.6% $315M 1.4M FMR LLC Mar 31, 2025

Institutional Holders of APPLIED INDUSTRIAL TECHNOLOGIES INC - Common Stock (AIT)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 340K $88.7M +$1.78M $261.05 14
2025 Q2 35.9M $8.33B -$68.2M $232.45 534
2025 Q1 36M $8.12B +$25.9M $225.34 505
2024 Q4 36M $8.62B +$132M $239.47 495
2024 Q3 35.4M $7.91B +$38.8M $223.13 444
2024 Q2 35.6M $6.92B +$29.8M $194.00 426
2024 Q1 34.6M $6.84B -$90.8M $197.55 417
2023 Q4 96.4K $16.6M +$1.01M $172.69 2
2023 Q3 35.5M $5.49B +$24.7M $154.61 374
2023 Q2 35.3M $5.11B -$73.8M $144.83 345
2023 Q1 35.5M $5.05B +$81.8M $142.13 342
2022 Q4 35.4M $4.46B -$11.9M $126.03 326
2022 Q3 34M $3.49B -$3.32M $102.78 279
2022 Q2 35.3M $3.4B +$8.21M $96.17 267
2022 Q1 35.3M $3.62B +$9.57M $102.66 252
2021 Q4 35.7M $3.66B +$13.6M $102.70 242
2021 Q3 35.6M $3.21B +$29.7M $90.13 248
2021 Q2 32.1M $2.93B -$68.2M $91.06 237
2021 Q1 35.9M $3.27B +$29.4M $91.17 237
2020 Q4 35.4M $2.76B +$34.1M $77.99 230
2020 Q3 34.8M $1.92B -$22.6M $55.10 213
2020 Q2 35.2M $2.19B -$8.55M $62.39 213
2020 Q1 35.6M $1.63B +$12.2M $45.72 191
2019 Q4 32.7M $2.18B +$42.4M $66.69 220
2019 Q3 34.7M $1.97B -$18.4M $56.80 211
2019 Q2 34.9M $2.14B +$92.4M $61.53 208
2019 Q1 34.7M $2.06B -$15.3M $59.47 217
2018 Q4 34.8M $1.88B +$3.91M $53.94 224
2018 Q3 35M $2.74B -$27.2M $78.25 240
2018 Q2 35.4M $2.48B +$69.6M $70.15 241
2018 Q1 35M $2.55B +$36.1M $72.90 244
2017 Q4 35.3M $2.4B -$21.1M $68.10 237
2017 Q3 32.5M $2.14B +$24.8M $65.80 214
2017 Q2 34.5M $2.03B +$10.4M $59.05 214
2017 Q1 34.9M $2.16B +$279M $61.85 203
2016 Q4 34.8M $2.07B -$16.4M $59.40 211
2016 Q3 34.7M $1.62B +$6.09M $46.74 181
2016 Q2 34.5M $1.56B -$356K $45.14 191
2016 Q1 34.6M $1.5B -$27.2M $43.40 182
2015 Q4 35.9M $1.45B -$17.6M $40.49 175
2015 Q3 35.4M $1.35B +$21.4M $38.15 163
2015 Q2 34.1M $1.35B -$58M $39.65 172
2015 Q1 36M $1.63B -$24.7M $45.34 163
2014 Q4 36.9M $1.68B +$374K $45.59 165
2014 Q3 37.4M $1.71B +$33.4M $45.65 172
2014 Q2 36.4M $1.85B -$9.53M $50.73 173
2014 Q1 36.6M $1.77B +$6.86M $48.24 174