BELDEN INC. - Common Stock (BDC)

Historical Holders from Q1 2014 to Q3 2025

Symbol
BDC on NYSE
CUSIP
077454106
Type / Class
Equity / Common Stock
Shares outstanding
39.7M
All holders as of June 30, 2025
Q2 2025
Total 13F shares, excl. options
40M
Holdings value
$4.63B
% of all portfolios
0.003%
Grand Portfolio weight change
+0%
Number of holders
336
Number of buys
143
Number of sells
-186
Average Value change %
+0%
Average buys %
+0.001%
Average sells %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of BELDEN INC. - Common Stock (BDC)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
FMR LLC 13.9% +14.2% $562M $57.5M 5.47M +11.4% FMR LLC Jun 30, 2025
VANGUARD GROUP INC 12.15% $493M 4.8M The Vanguard Group Jun 30, 2025
WELLINGTON MANAGEMENT GROUP LLP 4.3% $175M 1.71M Wellington Management Group LLP Jun 30, 2025

Institutional Holders of BELDEN INC. - Common Stock (BDC)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 600 $72.2K +$1.92K $120.27 1
2025 Q2 40M $4.63B +$54.4M $115.80 336
2025 Q1 39.6M $3.98B -$141M $100.25 331
2024 Q4 40.9M $4.61B +$632K $112.61 335
2024 Q3 40.8M $4.78B -$135M $117.13 301
2024 Q2 41.9M $3.93B +$122M $93.80 291
2024 Q1 40.8M $3.78B +$42.5M $92.61 276
2023 Q4 17K $1.31M -$1.18M $77.25 1
2023 Q3 40.7M $3.92B -$55.2M $96.55 305
2023 Q2 41.2M $3.94B -$125M $95.65 312
2023 Q1 42.8M $3.71B +$6.67M $86.77 312
2022 Q4 42.8M $3.08B -$98.1M $71.90 303
2022 Q3 43.8M $2.63B -$246M $60.02 256
2022 Q2 45.1M $2.4B +$51.9M $53.27 212
2022 Q1 44.3M $2.45B +$10.1M $55.40 224
2021 Q4 44.7M $2.94B -$117M $65.73 227
2021 Q3 45.2M $2.64B +$104M $58.26 190
2021 Q2 44.6M $2.25B +$11.1M $50.57 181
2021 Q1 43.9M $1.95B -$63.4M $44.37 176
2020 Q4 45.6M $1.91B -$4.41M $41.90 171
2020 Q3 45.9M $1.43B -$8.41M $31.12 167
2020 Q2 46.1M $1.5B +$8.21M $32.55 172
2020 Q1 45.7M $1.65B -$40.1M $36.08 161
2019 Q4 47M $2.59B +$38.3M $55.00 187
2019 Q3 46.5M $2.48B +$126M $53.34 201
2019 Q2 44.2M $2.63B +$8.85M $59.57 219
2019 Q1 44.7M $2.4B -$147M $53.70 219
2018 Q4 46.9M $1.96B -$96M $41.77 211
2018 Q3 48.7M $3.47B -$111M $71.41 220
2018 Q2 50.8M $3.11B +$274M $61.12 224
2018 Q1 46.5M $3.2B +$104M $68.94 228
2017 Q4 44.8M $3.46B -$44.8M $77.17 241
2017 Q3 44.9M $3.62B +$65M $80.53 228
2017 Q2 44.3M $3.34B +$385M $75.43 229
2017 Q1 43.9M $3.04B +$302M $69.19 242
2016 Q4 43.5M $3.25B -$90.6M $74.77 247
2016 Q3 44.7M $3.08B +$108M $68.99 232
2016 Q2 43.5M $2.63B -$15M $60.37 215
2016 Q1 43M $2.64B +$19.2M $61.38 203
2015 Q4 43M $2.05B -$32.2M $47.68 193
2015 Q3 43.8M $2.05B -$210M $46.69 200
2015 Q2 44.2M $3.59B +$66.6M $81.23 217
2015 Q1 44M $4.11B +$18.7M $93.56 224
2014 Q4 43.7M $3.45B -$29.6M $78.81 209
2014 Q3 44.2M $2.83B -$15.9M $64.02 209
2014 Q2 44.4M $3.47B +$3.59M $78.16 211
2014 Q1 44.5M $3.09B -$3.71M $69.60 200