Essential Utilities, Inc. - Common Stock, par value $0.50 per share (WTR)

Historical Holders from Q1 2014 to Q4 2021

Symbol
WTR
CUSIP
03836W103
Type / Class
Equity / Common Stock, par value $0.50 per share
Shares outstanding
280M
All holders as of December 31, 2021
Q4 2021
Total 13F shares, excl. options
0
Holdings value
$0
Number of holders
0
Number of sells
-1
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of Essential Utilities, Inc. - Common Stock, par value $0.50 per share (WTR)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
CANADA PENSION PLAN INVESTMENT BOARD 4.16% 11.7M Canada Pension Plan Investment Board Jun 3, 2025

Institutional Holders of Essential Utilities, Inc. - Common Stock, par value $0.50 per share (WTR)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2021 Q4 0 $0 -$1.94M 0
2021 Q3 42K $1.94M -$42.2K $46.07 1
2021 Q2 43K $1.96M $0 $45.69 1
2021 Q1 43K $1.92M -$654K $44.74 1
2020 Q4 57.6K $2.72M -$9.41M $47.29 1
2020 Q3 291K $11.7M +$547K $40.25 2
2020 Q2 277K $11.7M -$975K $42.24 2
2020 Q1 338K $14M -$7.02B $40.70 4
2019 Q4 151M $7.07B +$185M $46.94 566
2019 Q3 127M $5.68B -$33.1M $44.83 564
2019 Q2 143M $5.9B +$1.75B $41.37 529
2019 Q1 106M $3.86B +$193M $36.44 522
2018 Q4 100M $3.43B +$53.7M $34.19 503
2018 Q3 97.9M $3.61B +$40.7M $36.90 491
2018 Q2 96.5M $3.39B +$22.5M $35.18 473
2018 Q1 97.4M $3.32B +$66.4M $34.06 470
2017 Q4 95.8M $3.76B +$105M $39.23 476
2017 Q3 92.6M $3.07B +$35.1M $33.19 414
2017 Q2 91.1M $3.03B +$43.1M $33.30 401
2017 Q1 90M $2.89B +$492M $32.15 415
2016 Q4 89.1M $2.68B +$84M $30.04 425
2016 Q3 85.9M $2.62B +$14.6M $30.48 405
2016 Q2 85.5M $3.03B +$7.14M $35.66 405
2016 Q1 85.7M $2.72B +$28.8M $31.82 393
2015 Q4 83.8M $2.5B +$11.9M $29.80 364
2015 Q3 82M $2.17B +$54.9M $26.47 352
2015 Q2 80.4M $1.97B +$33.5M $24.49 342
2015 Q1 80.7M $2.13B -$6.3M $26.35 340
2014 Q4 81M $2.16B +$30.6M $26.70 330
2014 Q3 80.4M $1.89B -$48.4M $23.53 314
2014 Q2 80M $2.1B -$16.6M $26.22 317
2014 Q1 83.9M $2.1B -$42.5M $25.07 326