British American Tobacco p.l.c. - Ordinary Shares (BTI) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2025

Type / Class
Equity / Ordinary Shares
Symbol
BTI on NYSE
Shares outstanding
2,193,231,643
Price per share
$56.62
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
278,392,198
Total reported value
$14,775,463,542
% of total 13F portfolios
0.02%
Share change
+14,528,829
Value change
+$784,199,584
Number of holders
758
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of British American Tobacco p.l.c. - Ordinary Shares (BTI) based on Schedule 13D/G filings

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
Portfolio Services Ltd. 2.8% -50% $3,259,668,597 -$2,869,712,449 61,410,486 -47% Portfolio Services Ltd. 25 Sep 2025

As of 30 Sep 2025, 758 institutional investors reported holding 278,392,198 shares of British American Tobacco p.l.c. - Ordinary Shares (BTI). This represents 13% of the company’s total 2,193,231,643 outstanding shares.

Top 25 Institutional Shareholders

The largest institutional shareholders of British American Tobacco p.l.c. - Ordinary Shares (BTI) together control 10% of the company’s outstanding shares — a level of ownership often associated with strong institutional conviction and long‑term capital commitment.

Institution Ownership % Shares Held Share Change % Portfolio % Holdings Value
Capital International Investors 2.9% 64,057,419 +3% 0.55% $3,399,351,818
GQG Partners LLC 1.3% 28,554,869 +21% 2.3% $1,515,692,732
Capital Research Global Investors 1% 22,068,891 +2.6% 0.22% $1,171,399,349
FMR LLC 0.93% 20,420,042 +67% 0.06% $1,083,895,845
BlackRock, Inc. 0.5% 10,893,568 -8.2% 0.01% $578,230,589
Orbis Allan Gray Ltd 0.43% 9,521,130 -34% 2.2% $505,381,580
Capital World Investors 0.43% 9,470,709 +12871% 0.07% $502,686,554
BANK OF AMERICA CORP /DE/ 0.32% 6,934,792 +29% 0.03% $368,098,768
MORGAN STANLEY 0.24% 5,264,461 +0.43% 0.02% $279,437,729
Mondrian Investment Partners LTD 0.19% 4,185,605 -23% 3.7% $222,171,913
FEDERATED HERMES, INC. 0.17% 3,779,137 +8.7% 0.35% $200,596,592
Bridgewater Associates, LP 0.17% 3,742,720 +9.8% 0.78% $198,663,578
WELLS FARGO & COMPANY/MN 0.16% 3,591,337 +8.5% 0.04% $190,628,211
GOLDMAN SACHS GROUP INC 0.15% 3,334,054 -12% 0.03% $176,971,577
NATIXIS ADVISORS, LLC 0.14% 3,101,802 +2.5% 0.24% $164,644,000
ENVESTNET ASSET MANAGEMENT INC 0.14% 3,023,917 +8.3% 0.05% $160,509,533
RAYMOND JAMES FINANCIAL INC 0.13% 2,852,780 +3.5% 0.05% $151,425,520
JPMORGAN CHASE & CO 0.12% 2,724,117 -0.88% 0.01% $144,596,262
Newport Trust Company, LLC 0.12% 2,602,153 -5% 0.31% $138,122,281
NORTHERN TRUST CORP 0.11% 2,521,655 -0.1% 0.02% $133,849,448
TWO SIGMA INVESTMENTS, LP 0.11% 2,383,945 -40% 0.19% $126,539,801
Empyrean Capital Partners, LP 0.1% 2,200,000 +132% 4.7% $116,776,000
ROYAL BANK OF CANADA 0.09% 2,052,633 -10% 0.02% $108,954,000
ARROWSTREET CAPITAL, LIMITED PARTNERSHIP 0.09% 2,035,559 -39% 0.07% $108,047,472
LPL Financial LLC 0.09% 1,982,657 +11% 0.03% $105,239,431

Institutional Holders of British American Tobacco p.l.c. - Ordinary Shares (BTI) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 5,153,017 $288,154,826 +$52,079,726 $56.62 149
2025 Q3 278,392,198 $14,775,463,542 +$784,199,584 $53.08 758
2025 Q2 258,987,459 $12,258,768,775 +$2,466,483,322 $47.33 710
2025 Q1 212,091,876 $8,772,379,217 +$948,974,927 $41.37 636
2024 Q4 189,230,773 $6,889,403,247 +$250,670,786 $36.32 606
2024 Q3 178,262,021 $6,520,275,258 +$935,494,480 $36.58 604
2024 Q2 157,411,925 $4,874,994,944 +$376,836,419 $30.93 563
2024 Q1 145,093,894 $4,426,120,783 +$200,137,016 $30.50 569
2023 Q4 25,248 $739,504 +$188,295 $29.29 3
2023 Q3 143,867,433 $4,520,207,941 -$288,769,268 $31.41 541
2023 Q2 152,647,652 $5,066,823,683 -$743,267,110 $33.20 558
2023 Q1 167,928,958 $5,899,924,516 +$124,614,556 $35.12 557
2022 Q4 165,275,084 $6,608,368,503 +$978,858,031 $39.98 569
2022 Q3 140,483,499 $4,991,459,866 -$257,417,661 $35.50 514
2022 Q2 147,533,207 $6,333,562,119 +$227,219,986 $42.91 552
2022 Q1 144,302,149 $6,087,733,020 +$1,013,159,875 $42.16 534
2021 Q4 121,575,659 $4,548,691,034 +$544,840,484 $37.41 513
2021 Q3 107,210,797 $3,792,541,494 -$392,026,248 $35.28 473
2021 Q2 117,600,592 $4,623,079,903 +$92,660,599 $39.31 471
2021 Q1 115,364,111 $4,469,305,975 +$6,312,947 $38.74 462
2020 Q4 115,753,547 $4,341,520,287 -$217,906,630 $37.49 439
2020 Q3 121,988,555 $4,407,601,833 -$179,428,841 $36.15 412
2020 Q2 126,213,990 $4,880,805,725 +$338,070,295 $38.82 409
2020 Q1 118,144,059 $4,043,625,523 +$133,225,836 $34.19 396
2019 Q4 114,234,318 $4,852,085,697 +$48,258,813 $42.46 440
2019 Q3 112,697,214 $4,157,899,741 -$208,393,305 $36.90 405
2019 Q2 118,791,776 $4,146,210,477 -$398,395,916 $34.87 419
2019 Q1 129,670,268 $5,411,307,347 -$148,628,444 $41.72 465
2018 Q4 134,490,357 $4,287,073,071 -$840,641,361 $31.86 420
2018 Q3 158,760,593 $7,400,985,930 -$37,832,119 $46.63 495
2018 Q2 159,505,296 $8,042,728,432 -$1,350,275,327 $50.45 501
2018 Q1 184,080,735 $10,612,231,208 -$198,015,681 $57.69 564
2017 Q4 188,878,685 $12,642,646,917 -$786,626,532 $66.99 592
2017 Q3 200,755,688 $12,536,424,253 +$5,652,859,622 $62.45 582
2017 Q2 109,170,003 $7,481,898,677 +$129,658,777 $68.54 318
2017 Q1 106,220,006 $7,044,683,990 +$4,431,020,342 $66.32 306
2016 Q4 33,812,057 $3,809,834,346 +$847,418,475 $112.67 297
2016 Q3 26,111,861 $3,332,506,533 -$177,177,308 $127.65 282
2016 Q2 27,518,444 $3,562,237,148 -$46,927,822 $129.48 281
2016 Q1 27,925,673 $3,265,110,643 -$156,462,611 $116.91 263
2015 Q4 29,280,000 $3,233,603,230 -$129,223,927 $110.45 263
2015 Q3 30,808,592 $3,393,903,490 -$1,597,637 $110.08 252
2015 Q2 31,163,124 $3,373,781,039 -$34,065,308 $108.25 239
2015 Q1 32,173,650 $3,338,858,195 -$60,147,984 $103.77 240
2014 Q4 32,672,948 $3,523,352,522 +$5,978,321 $107.82 242
2014 Q3 32,399,321 $3,663,987,696 +$5,717,113 $113.08 232
2014 Q2 32,134,262 $3,826,305,810 -$101,720,879 $119.08 230
2014 Q1 33,295,567 $3,710,285,274 +$60,349,614 $111.43 217