BRINKS CO - COMMON STOCK (BCO)

Historical Holders from Q1 2014 to Q3 2025

Symbol
BCO on NYSE
CUSIP
109696104
Type / Class
Equity / COMMON STOCK
Shares outstanding
42M
All holders as of June 30, 2025
Q2 2025
Total 13F shares, excl. options
41.1M
Holdings value
$3.67B
% of all portfolios
0.005%
Grand Portfolio weight change
0%
Number of holders
312
Number of buys
140
Number of sells
-177
Average Value change %
+0%
Average buys %
+0.002%
Average sells %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of BRINKS CO - COMMON STOCK (BCO)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
FMR LLC 12.3% +10% $464M $27.2M 5.16M +6.22% FMR LLC Jun 30, 2025
WILLIAM BLAIR INVESTMENT MANAGEMENT, LLC 4.7% -12% $176M -$32.4M 1.96M -15.5% WILLIAM BLAIR INVESTMENT MANAGEMENT, LLC Jun 30, 2025

Institutional Holders of BRINKS CO - COMMON STOCK (BCO)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 1.5K $175K +$13.6K $116.86 1
2025 Q2 41.1M $3.67B -$21.4M $89.29 312
2025 Q1 41.4M $3.57B -$62.4M $86.16 317
2024 Q4 42.2M $3.92B -$26.4M $92.77 294
2024 Q3 42.4M $4.9B +$8.4M $115.64 322
2024 Q2 42.5M $4.36B -$15.3M $102.40 310
2024 Q1 42.6M $3.94B -$51.4M $92.38 289
2023 Q4 21.5K $1.89M +$18.2K $87.95 2
2023 Q3 43.6M $3.16B -$35.8M $72.64 242
2023 Q2 44.1M $2.99B -$69M $67.83 240
2023 Q1 45.1M $3.01B +$25.7M $66.80 222
2022 Q4 44.9M $2.41B -$31.5M $53.71 220
2022 Q3 44.3M $2.15B -$75.2M $48.44 193
2022 Q2 47.3M $2.87B -$41.8M $60.71 216
2022 Q1 47.9M $3.26B -$75M $68.00 218
2021 Q4 49M $3.21B -$52.5M $65.57 223
2021 Q3 49.7M $3.15B +$19.9M $63.30 222
2021 Q2 49.2M $3.78B +$112M $76.84 237
2021 Q1 49.2M $3.9B -$34.4M $79.23 249
2020 Q4 50M $3.6B -$98.5M $72.00 249
2020 Q3 49.5M $2.03B +$24.8M $41.09 216
2020 Q2 51.2M $2.33B +$17.4M $45.51 211
2020 Q1 50.2M $2.61B -$42.7M $52.05 229
2019 Q4 50M $4.54B -$133M $90.68 261
2019 Q3 51.6M $4.28B -$5.49M $82.95 234
2019 Q2 51.9M $4.21B +$64.1M $81.18 252
2019 Q1 52M $3.92B +$12.8M $75.41 253
2018 Q4 52.1M $3.37B +$95.3M $64.65 233
2018 Q3 51.1M $3.56B +$56.8M $69.75 250
2018 Q2 50.2M $4B +$191M $79.75 252
2018 Q1 48.8M $3.48B +$34.7M $71.35 258
2017 Q4 47.7M $3.75B +$29.9M $78.70 268
2017 Q3 47M $3.96B +$38.9M $84.25 254
2017 Q2 47.2M $3.16B +$89.1M $67.00 237
2017 Q1 45.8M $2.45B +$284M $53.45 220
2016 Q4 45.8M $1.89B -$71.1M $41.25 206
2016 Q3 46.1M $1.71B +$12.6M $37.08 187
2016 Q2 46.3M $1.32B -$17.9M $28.49 195
2016 Q1 47.1M $1.58B -$23.9M $33.59 186
2015 Q4 48M $1.38B -$38.4M $28.86 170
2015 Q3 49.4M $1.33B -$18M $27.01 170
2015 Q2 49.3M $1.45B -$127M $29.43 177
2015 Q1 53.9M $1.49B +$130M $27.63 166
2014 Q4 49.5M $1.21B +$12.3M $24.41 165
2014 Q3 49.9M $1.2B -$26.5M $24.04 166
2014 Q2 51.1M $1.44B +$31.5M $28.22 176
2014 Q1 50.1M $1.43B +$105M $28.55 189