Bloomin' Brands, Inc. - Common Stock (BLMN)

Historical Holders from Q1 2014 to Q1 2025

Symbol
BLMN on Nasdaq
CUSIP
094235108
Type / Class
Equity / Common Stock
Shares outstanding
84.9M
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
89M
Holdings value
$1.09B
% of all portfolios
0.001%
Grand Portfolio weight change
0%
Number of holders
228
Number of buys
106
Number of sells
-131
Average Value change %
+0%
Average buys %
+0%
Average sells %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of Bloomin' Brands, Inc. - Common Stock (BLMN)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
VANGUARD GROUP INC 11.01% $67M 9.34M The Vanguard Group Dec 31, 2024

Institutional Holders of Bloomin' Brands, Inc. - Common Stock (BLMN)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 720K $5.18M +$6.57K $7.17 20
2024 Q4 89M $1.09B -$33M $12.21 228
2024 Q3 89.7M $1.48B +$12.8M $16.53 243
2024 Q2 89.3M $1.72B -$114M $19.23 239
2024 Q1 90.7M $2.6B -$169M $28.68 284
2023 Q4 93.3M $2.63B -$52.3M $28.15 262
2023 Q3 97.5M $2.4B -$33.5M $24.59 266
2023 Q2 98.3M $2.64B +$58.4M $26.89 256
2023 Q1 96.3M $2.47B +$150M $25.65 268
2022 Q4 92.5M $1.86B -$538K $20.12 277
2022 Q3 90M $1.65B +$74.9M $18.33 231
2022 Q2 88.5M $1.47B -$92.6M $16.62 252
2022 Q1 94.2M $2.07B +$34.9M $21.94 263
2021 Q4 92.8M $1.95B -$51.2M $20.98 251
2021 Q3 94.2M $2.35B -$38.7M $25.00 261
2021 Q2 96.1M $2.61B +$78.6M $27.14 246
2021 Q1 93.4M $2.53B +$197M $27.05 252
2020 Q4 86.6M $1.68B +$71.6M $19.42 222
2020 Q3 84.5M $1.29B +$84.5M $15.27 207
2020 Q2 78.2M $834M +$12.9M $10.66 203
2020 Q1 77.3M $552M -$89M $7.14 197
2019 Q4 83.7M $1.85B -$132M $22.07 207
2019 Q3 89.9M $1.7B +$36.5M $18.93 206
2019 Q2 88.1M $1.66B +$129M $18.91 218
2019 Q1 85.5M $1.75B +$29.6M $20.45 201
2018 Q4 83M $1.49B -$97.7M $17.89 190
2018 Q3 89.5M $1.77B -$45.9M $19.79 193
2018 Q2 91.8M $1.85B +$40M $20.10 217
2018 Q1 90M $2.18B -$13.8M $24.28 214
2017 Q4 90.9M $1.94B -$44.4M $21.34 198
2017 Q3 93.9M $1.65B -$51.1M $17.60 182
2017 Q2 96.7M $2.05B -$64.3M $21.23 195
2017 Q1 99.7M $1.97B +$78.8M $19.73 182
2016 Q4 103M $1.85B +$33.8M $18.03 198
2016 Q3 101M $1.74B -$82.2M $17.24 196
2016 Q2 106M $1.89B -$52.5M $17.87 205
2016 Q1 108M $1.82B -$27.6M $16.87 204
2015 Q4 111M $1.88B -$58.2M $16.89 193
2015 Q3 113M $2.06B -$82.8M $18.18 209
2015 Q2 112M $2.39B +$21.6M $21.35 214
2015 Q1 114M $2.78B -$79.8M $24.33 219
2014 Q4 115M $2.84B -$46.8M $24.76 181
2014 Q3 118M $2.16B -$860K $18.34 134
2014 Q2 117M $2.62B +$15M $22.43 140
2014 Q1 116M $2.8B +$37.5M $24.10 136