BERRY GLOBAL GROUP, INC. - Common Stock, $0.01 par value per share (BERY) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q3 2025

Type / Class
Equity / Common Stock, $0.01 par value per share
Symbol
BERY
Shares outstanding
115,700,759
Price per share
$68.00
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
1
Total reported value
$68
Share change
-1,790
Value change
-$113,383
Number of holders
1
Price from insider filings
$68.00
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of BERRY GLOBAL GROUP, INC. - Common Stock, $0.01 par value per share (BERY) based on Schedule 13D/G filings

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
VANGUARD GROUP INC 9.9% $766,818,714 11,431,406 The Vanguard Group 31 Dec 2024
EdgePoint Investment Group Inc. 2.9% -72% $225,075,000 -$554,656,078 3,355,322 -71% EdgePoint Investment Group Inc. 31 Mar 2025

As of 30 Sep 2025, 1 institutional investors reported holding 1 shares of BERRY GLOBAL GROUP, INC. - Common Stock, $0.01 par value per share (BERY). This represents 0% of the company’s total 115,700,759 outstanding shares.

Institutional Holders of BERRY GLOBAL GROUP, INC. - Common Stock, $0.01 par value per share (BERY) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q3 1 $68 -$113,383 $68.00 1
2025 Q2 3,653 $243,450 -$7,694,419,575 $67.58 5
2025 Q1 110,801,682 $7,731,834,213 +$34,384,925 $69.81 436
2024 Q4 109,513,983 $7,082,947,285 -$236,174,482 $64.67 436
2024 Q3 112,593,005 $7,643,946,129 -$37,945,436 $67.98 392
2024 Q2 113,719,548 $6,693,567,467 +$69,278,770 $58.85 389
2024 Q1 112,675,018 $6,813,975,144 +$111,908,771 $60.48 408
2023 Q4 1,099,981 $74,131,634 +$2,668,762 $67.39 7
2023 Q3 110,347,040 $6,831,010,736 -$349,905,078 $61.91 386
2023 Q2 114,555,085 $7,369,058,562 +$210,313,037 $64.34 379
2023 Q1 111,266,025 $6,550,983,978 -$160,023,913 $58.90 387
2022 Q4 112,673,706 $6,808,395,187 -$117,618,128 $60.43 377
2022 Q3 114,624,859 $5,334,261,060 -$250,302,197 $46.53 321
2022 Q2 122,225,889 $6,672,510,612 -$213,643,921 $54.64 327
2022 Q1 126,452,962 $7,331,074,988 -$252,776,268 $57.96 351
2021 Q4 129,316,427 $9,539,981,149 -$44,692,160 $73.78 378
2021 Q3 129,975,572 $7,913,668,839 -$23,265,481 $60.88 357
2021 Q2 128,558,200 $8,384,130,174 -$27,578,548 $65.22 379
2021 Q1 128,858,724 $7,918,045,135 -$44,218,792 $61.40 377
2020 Q4 128,416,371 $7,214,729,863 +$136,104,385 $56.19 342
2020 Q3 128,548,594 $6,212,779,347 -$204,078,104 $48.32 332
2020 Q2 133,459,146 $5,914,743,039 -$146,752,531 $44.32 280
2020 Q1 134,273,575 $4,527,983,446 +$298,697,715 $33.71 239
2019 Q4 131,844,129 $6,259,809,921 +$193,561,629 $47.49 289
2019 Q3 127,783,576 $5,017,280,608 -$62,865,302 $39.27 274
2019 Q2 126,424,058 $6,646,722,092 +$184,649,586 $52.59 316
2019 Q1 127,568,595 $6,872,507,691 +$89,659,669 $53.87 347
2018 Q4 125,955,496 $5,986,544,739 +$22,786,767 $47.53 314
2018 Q3 126,082,434 $6,097,178,522 +$66,644,613 $48.39 306
2018 Q2 125,250,111 $5,752,275,065 +$29,882,581 $45.94 320
2018 Q1 123,778,504 $6,784,334,667 +$23,785,414 $54.81 344
2017 Q4 122,339,854 $7,177,822,554 -$154,730,727 $58.67 355
2017 Q3 126,408,284 $7,161,276,878 +$155,288,863 $56.65 342
2017 Q2 123,900,637 $7,063,364,634 -$269,238,442 $57.01 345
2017 Q1 127,906,135 $6,213,030,939 +$398,571,600 $48.57 328
2016 Q4 123,360,870 $6,015,814,866 +$37,818,893 $48.73 351
2016 Q3 123,079,886 $5,395,046,581 +$254,500,820 $43.85 309
2016 Q2 116,967,488 $4,544,492,985 -$105,504,234 $38.85 276
2016 Q1 119,538,914 $4,320,301,034 +$64,288,569 $36.15 238
2015 Q4 117,996,294 $4,268,661,581 -$28,960,093 $36.18 257
2015 Q3 117,059,416 $3,519,878,572 +$7,378,663 $30.07 218
2015 Q2 114,443,522 $3,708,643,221 +$3,379,435 $32.40 229
2015 Q1 115,033,392 $4,160,178,949 -$20,874,050 $36.19 235
2014 Q4 115,975,263 $3,659,517,303 +$44,851,219 $31.55 205
2014 Q3 130,435,545 $3,300,383,756 -$56,957,582 $25.24 185
2014 Q2 117,630,778 $3,034,495,494 +$70,175,913 $25.80 180
2014 Q1 115,123,911 $2,665,083,396 +$123,667,149 $23.15 158