BRAMBLES L - Common Stock (BXBLY)

Historical Holders from Q2 2015 to Q3 2025

Symbol
BXBLY
CUSIP
105105209
Type / Class
Equity / Common Stock
All holders as of June 30, 2025
Q2 2025
Total 13F shares, excl. options
39.4K
Holdings value
$1.22M
% of all portfolios
0%
Grand Portfolio weight change
+0%
Number of holders
8
Number of buys
6
Average Value change %
+0%
Average buys %
+0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of BRAMBLES L - Common Stock (BXBLY)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 10.3K $336K +$33K $32.73 1
2025 Q2 39.4K $1.22M +$181K $30.98 8
2025 Q1 33.5K $846K +$118K $25.24 6
2024 Q4 28.9K $690K +$63.8K $23.97 5
2024 Q3 26.2K $689K +$85.9K $26.20 5
2024 Q2 22.9K $445K -$517K $19.44 5
2024 Q1 49.4K $999K +$224K $21.06 8
2023 Q4 37.8K $701K +$279K $18.46 7
2023 Q3 21.4K $396K +$9.66K $18.54 6
2023 Q2 20.8K $402K +$179K $19.30 6
2023 Q1 11.4K $206K +$2.41K $18.05 4
2022 Q4 11.4K $186K +$66.00 $16.35 4
2022 Q3 167 $2K -$43.1K $11.98 1
2022 Q2 14.2K $209K +$13.9K $14.73 5
2022 Q1 13.6K $203K -$1.23M $15.50 4
2021 Q4 92.9K $1.44M -$1.38M $15.26 4
2021 Q3 171K $2.66M +$12.2K $15.63 6
2021 Q2 170K $2.92M -$17.2M $17.39 7
2021 Q1 1.25M $20M -$3.07M $16.13 5
2020 Q4 1.44M $23.7M +$3.46M $16.36 5
2020 Q3 1.23M $18.5M -$2.75M $15.03 5
2020 Q2 1.41M $21.2M -$4.11M $15.00 5
2020 Q1 1.69M $22.1M +$3.55M $13.06 4
2019 Q4 1.42M $23.4M +$3.41M $16.47 4
2019 Q3 1.21M $18.6M -$1.9M $15.37 4
2019 Q2 1.32M $24M +$845K $18.12 5
2019 Q1 1.29M $21.5M +$1.86M $16.72 6
2018 Q4 1.17M $16.6M +$4.02M $14.23 5
2018 Q3 890K $14M +$3.52M $15.75 5
2018 Q2 666K $8.72M -$4.45M $13.10 5
2018 Q1 1.01M $15.6M +$1.47M $15.41 7
2017 Q4 912K $14.4M +$961K $15.41 7
2017 Q3 851K $12.1M +$1.29M $14.18 7
2017 Q2 759K $11.4M +$2.46M $14.98 3
2017 Q1 595K $8.47M -$2.32M $14.81 2
2016 Q4 753K $13.4M -$3.04M $17.83 3
2016 Q3 931K $17.1M +$4.57M $18.43 5
2016 Q2 682K $12.6M -$258K $18.51 4
2016 Q1 696K $12.9M +$739K $18.18 4
2015 Q4 656K $11M +$10.3M $16.80 4
2015 Q3 45.2K $620K -$8.59M $12.36 4
2015 Q2 574K $9.31M +$9.31M $16.24 3