BRISTOL MYERS SQUIBB CO - Common Stock, $0.10 Par Value (BMY)

Historical Holders from Q1 2014 to Q3 2025

Symbol
BMY on NYSE
CUSIP
110122108
Type / Class
Equity / Common Stock, $0.10 Par Value
Shares outstanding
2.05B
All holders as of September 30, 2025
Q3 2025
Total 13F shares, excl. options
1.57B
Holdings value
$71B
% of all portfolios
0.054%
Grand Portfolio weight change
-0.004%
Number of holders
2175
Number of buys
937
Number of sells
-1092
Average Value change %
+0%
Average buys %
+0.01%
Average sells %
-0.007%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of BRISTOL MYERS SQUIBB CO - Common Stock, $0.10 Par Value (BMY)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 7.1% $7.72B 144M BlackRock, Inc. Mar 31, 2025
JPMORGAN CHASE & CO 4% -22% $3.69B -$1.03B 81.9M -21.8% JPMORGAN CHASE & CO. Sep 30, 2025

Institutional Holders of BRISTOL MYERS SQUIBB CO - Common Stock, $0.10 Par Value (BMY)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 1.57B $71B -$2.68B $45.10 2,175
2025 Q2 1.64B $75.8B +$1.91B $46.29 2,260
2025 Q1 1.59B $97B +$208M $60.99 2,439
2024 Q4 1.59B $90B +$4.43B $56.56 2,436
2024 Q3 1.5B $77.9B -$1.12B $51.74 2,235
2024 Q2 1.53B $63.6B +$398M $41.53 2,095
2024 Q1 1.52B $82.3B -$1.18B $54.23 2,295
2023 Q4 7.53M $387M -$192M $51.31 34
2023 Q3 1.53B $88.9B -$1.65B $58.04 2,331
2023 Q2 1.54B $98.8B -$2.2B $63.95 2,417
2023 Q1 1.59B $110B -$157M $69.31 2,482
2022 Q4 1.57B $113B -$2.31B $71.95 2,546
2022 Q3 1.63B $116B -$473M $71.09 2,426
2022 Q2 1.57B $121B +$1.61B $77.00 2,490
2022 Q1 1.62B $119B +$1.87B $73.03 2,470
2021 Q4 1.59B $99.4B -$1.88B $62.35 2,403
2021 Q3 1.62B $96.2B +$41.4M $59.17 2,264
2021 Q2 1.62B $108B +$132M $66.82 2,335
2021 Q1 1.61B $102B -$1.98B $63.13 2,334
2020 Q4 1.66B $103B +$47.9M $62.03 2,322
2020 Q3 1.66B $99.9B -$948M $60.29 2,185
2020 Q2 1.6B $94.3B -$1.34B $58.80 2,154
2020 Q1 1.7B $94.6B -$2.77B $55.74 2,114
2019 Q4 1.75B $112B +$23.9B $64.19 2,173
2019 Q3 1.37B $69.4B +$2.27B $50.71 1,791
2019 Q2 1.33B $60.1B +$3.08B $45.35 1,750
2019 Q1 1.28B $61.2B +$3.62B $47.71 1,782
2018 Q4 1.21B $62.8B +$274M $51.98 1,750
2018 Q3 1.17B $72.4B +$650M $62.08 1,706
2018 Q2 1.19B $66.1B +$1.26B $55.34 1,671
2018 Q1 1.18B $74.4B +$820M $63.25 1,727
2017 Q4 1.17B $71.6B +$692M $61.28 1,720
2017 Q3 1.16B $73.6B +$842M $63.74 1,624
2017 Q2 1.14B $63.4B -$770M $55.72 1,577
2017 Q1 1.16B $63.3B +$4.02B $54.38 1,576
2016 Q4 1.18B $69B +$578M $58.44 1,584
2016 Q3 1.18B $63.4B -$2.7B $53.92 1,500
2016 Q2 1.22B $89.8B -$101M $73.55 1,558
2016 Q1 1.22B $78B +$33.2M $63.88 1,505
2015 Q4 1.23B $84.9B +$901M $68.79 1,522
2015 Q3 1.2B $70.8B +$529M $59.20 1,436
2015 Q2 1.16B $77.5B +$879M $66.54 1,430
2015 Q1 1.2B $77.5B +$414M $64.50 1,434
2014 Q4 1.2B $70.7B +$2.05B $59.03 1,397
2014 Q3 1.16B $59.4B -$363M $51.18 1,289
2014 Q2 1.17B $56.6B +$1.33B $48.51 1,293
2014 Q1 1.15B $59.5B +$737M $51.95 1,313