BRADY CORP - CLASS A COMMON STOCK (BRC)

Historical Holders from Q1 2014 to Q3 2025

Symbol
BRC on NYSE
CUSIP
104674106
Type / Class
Equity / CLASS A COMMON STOCK
Shares outstanding
43.7M
All holders as of June 30, 2025
Q2 2025
Total 13F shares, excl. options
35.9M
Holdings value
$2.44B
% of all portfolios
0.002%
Grand Portfolio weight change
0%
Number of holders
295
Number of buys
128
Number of sells
-149
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 BRADY CORP - CLASS A COMMON STOCK (BRC)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
FMR LLC 12% +18% $394M $56.1M 5.24M +16.6% FMR LLC Jun 30, 2025

Institutional Holders of BRADY CORP - CLASS A COMMON STOCK (BRC)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 9.6K $749K -$9.75K $78.00 2
2025 Q2 35.9M $2.44B -$15.9M $67.97 295
2025 Q1 36.2M $2.55B +$33.1M $70.64 283
2024 Q4 35.7M $2.64B +$44.5M $73.85 274
2024 Q3 35M $2.68B +$9.19M $76.63 284
2024 Q2 35M $2.31B -$18.6M $66.02 263
2024 Q1 35.4M $2.1B -$56.2M $59.28 250
2023 Q4 123K $7.21M +$3.11M $58.69 2
2023 Q3 35.8M $1.97B -$80.3M $54.92 226
2023 Q2 36.9M $1.76B -$39.1M $47.57 217
2023 Q1 38.2M $2.05B -$7.41M $53.73 200
2022 Q4 35.8M $1.69B -$18M $47.10 184
2022 Q3 38.7M $1.61B -$97M $41.73 164
2022 Q2 38.9M $1.83B -$44.1M $47.24 169
2022 Q1 40M $1.85B -$23.6M $46.27 170
2021 Q4 40.6M $2.19B +$9.33M $53.90 183
2021 Q3 40.4M $2.05B -$19.4M $50.70 185
2021 Q2 40.7M $2.28B +$3.2M $56.04 180
2021 Q1 40.7M $2.17B -$6.39M $53.45 179
2020 Q4 40.8M $2.15B +$20.6M $52.82 171
2020 Q3 40.6M $1.62B -$18.1M $40.02 175
2020 Q2 41M $1.92B -$32M $46.82 178
2020 Q1 41.8M $1.88B -$69.3M $45.13 163
2019 Q4 43.1M $2.46B -$15.5M $57.26 184
2019 Q3 43.3M $2.29B -$7.02M $53.05 190
2019 Q2 43.5M $2.14B +$55.5M $49.32 175
2019 Q1 43.6M $2.02B +$75.5M $46.41 183
2018 Q4 41.9M $1.82B +$22M $43.46 195
2018 Q3 40.5M $1.77B +$36.9M $43.75 196
2018 Q2 40.4M $1.56B +$27.3M $38.55 194
2018 Q1 40.8M $1.51B -$11M $37.15 176
2017 Q4 41.1M $1.56B +$21.1M $37.90 180
2017 Q3 40.4M $1.53B +$13.5M $37.95 181
2017 Q2 40M $1.36B +$16.6M $33.90 172
2017 Q1 39M $1.51B +$219M $38.65 164
2016 Q4 39.3M $1.48B +$26.1M $37.55 173
2016 Q3 37.9M $1.31B +$3.49M $34.61 174
2016 Q2 38.6M $1.18B -$39.4M $30.56 160
2016 Q1 39.5M $1.06B +$3.48M $26.84 163
2015 Q4 40.1M $921M -$18.1M $22.98 138
2015 Q3 40.9M $805M -$19.7M $19.66 129
2015 Q2 41M $1.01B +$17.2M $24.74 136
2015 Q1 40.9M $1.16B +$47.4M $28.29 140
2014 Q4 39.3M $1.07B -$12.3M $27.34 143
2014 Q3 39.7M $890M +$40.7M $22.44 156
2014 Q2 37.5M $1.12B -$92.8M $29.87 158
2014 Q1 40.5M $1.1B +$2.65M $27.15 145