BARON SELECT FDS - EMGMKTS INSTL Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2015 to Q4 2025

Type / Class
Equity / EMGMKTS INSTL
Price per share
$19.13
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
54,875
Total reported value
$1,083,796
% of total 13F portfolios
0%
Share change
+4,682
Value change
+$92,474
Number of holders
3
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 3 institutional investors reported holding 54,875 shares of BARON SELECT FDS - EMGMKTS INSTL.

Institutional Holders of BARON SELECT FDS - EMGMKTS INSTL across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 46,791 $895,129 -$11,918 $19.13 1
2025 Q3 54,875 $1,083,796 +$92,474 $19.75 3
2025 Q2 50,193 $895,468 -$124,099 $17.84 1
2025 Q1 57,149 $883,543 -$102,734 $15.46 1
2024 Q4 63,794 $957,575 -$109,591 $15.01 1
2024 Q3 71,095 $1,157,456 -$70,413 $16.28 1
2024 Q2 76,796 $1,149,650 -$315,747 $14.97 2
2024 Q1 97,841 $1,405,988 -$457,330 $14.36 2
2023 Q4 129,719 $1,818,679 -$166,428 $14.05 2
2023 Q3 141,588 $1,871,814 -$778,486 $13.22 2
2023 Q2 197,998 $2,752,004 -$141,658 $13.90 2
2023 Q1 208,190 $2,788,084 -$4,294,096 $13.39 2
2022 Q4 528,661 $6,894,000 +$3,369,055 $13.04 2
2022 Q3 270,233 $3,246,000 -$709,255 $12.01 1
2022 Q2 329,279 $4,459,000 -$265,052 $13.54 1
2022 Q1 348,852 $5,268,000 -$261,313 $15.10 1
2021 Q4 366,089 $6,436,000 -$225,718 $17.88 2
2021 Q3 378,225 $7,057,000 +$171,987 $18.64 3
2021 Q2 368,994 $7,362,000 +$68,371 $20.58 2
2021 Q1 365,500 $6,955,000 +$53,860 $18.87 2
2020 Q4 362,647 $6,912,000 -$3,980,241 $19.06 1
2020 Q3 571,475 $9,040,000 -$3,212,557 $15.82 1
2020 Q2 774,561 $10,851,000 -$4,432,385 $14.01 1
2020 Q1 1,090,952 $12,065,000 -$18,201,581 $11.06 1
2019 Q4 3,045,948 $44,928,000 -$573,894 $14.75 3
2019 Q3 2,276,379 $30,799,000 -$2,116,480 $13.53 2
2019 Q2 3,241,286 $45,378,000 -$224,851 $14.00 3
2019 Q1 3,257,347 $45,505,000 +$12,282,339 $13.96 3
2018 Q4 2,379,014 $29,667,000 -$2,225,418 $12.47 2
2018 Q3 2,270,611 $30,313,000 -$7,184,164 $13.36 2
2018 Q2 2,808,123 $39,455,000 +$5,967,685 $14.05 3
2018 Q1 2,383,433 $36,943,000 -$8,426,887 $15.50 1
2017 Q4 2,935,351 $45,116,000 +$2,232,363 $15.37 4
2017 Q3 2,790,104 $40,568,000 -$244,703 $14.54 4
2017 Q2 4,012,687 $52,998,164 +$15,085,398 $13.21 4
2017 Q1 2,870,050 $35,617,407 +$18,144,327 $12.41 3
2016 Q4 1,411,390 $15,497,000 +$3,046,517 $10.98 3
2016 Q3 1,133,911 $13,640,000 +$5,428,995 $12.07 2
2016 Q2 683,671 $7,651,000 +$7,651,031 $11.19 1
2015 Q2 0 $0 -$13,000 $19.13 0
2015 Q1 1,111 $13,000 +$13,000 $11.70 1