COGNEX CORP - Common Stock (CGNX)

Historical Holders from Q1 2014 to Q3 2025

Symbol
CGNX on Nasdaq
CUSIP
192422103
Type / Class
Equity / Common Stock
Shares outstanding
168M
All holders as of September 30, 2025
Q3 2025
Total 13F shares, excl. options
155M
Holdings value
$7.03B
% of all portfolios
0.009%
Grand Portfolio weight change
+0%
Number of holders
491
Number of buys
278
Number of sells
-211
Average Value change %
0%
Average buys %
+0.002%
Average sells %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of COGNEX CORP - Common Stock (CGNX)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
VANGUARD GROUP INC 11.07% $843M 18.6M The Vanguard Group Sep 30, 2025
GIC Private Ltd 4.05% $163M 6.95M GIC Private Ltd Dec 31, 2024

Institutional Holders of COGNEX CORP - Common Stock (CGNX)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 155M $7.03B +$104M $45.30 491
2025 Q2 154M $4.89B +$56.3M $31.72 456
2025 Q1 153M $4.56B -$70.9M $29.83 429
2024 Q4 154M $5.52B +$26.3M $35.86 441
2024 Q3 152M $6.17B -$140M $40.50 437
2024 Q2 155M $7.25B +$169M $46.76 435
2024 Q1 149M $6.33B -$120M $42.42 414
2023 Q4 1.3M $54.4M +$33.7M $41.74 5
2023 Q3 153M $6.47B -$103M $42.44 449
2023 Q2 144M $8.07B -$98.8M $56.02 472
2023 Q1 156M $7.74B -$26.8M $49.55 471
2022 Q4 157M $7.41B -$72.4M $47.11 466
2022 Q3 158M $6.54B -$133M $41.45 440
2022 Q2 156M $6.65B -$154M $42.52 455
2022 Q1 157M $12.1B +$96.3M $77.15 495
2021 Q4 153M $11.9B -$242M $77.76 507
2021 Q3 155M $12.4B +$82.4M $80.22 513
2021 Q2 157M $13.2B -$583K $84.05 529
2021 Q1 157M $13B -$182M $82.99 518
2020 Q4 161M $12.9B -$64.7M $80.28 511
2020 Q3 161M $10.5B -$223M $65.10 462
2020 Q2 164M $9.82B +$129M $59.72 448
2020 Q1 162M $6.83B +$60.5M $42.22 389
2019 Q4 160M $8.94B +$123M $56.04 430
2019 Q3 158M $7.75B +$200K $49.13 383
2019 Q2 158M $7.58B -$31.3M $47.98 392
2019 Q1 158M $8.06B +$32.1M $50.86 431
2018 Q4 163M $6.31B +$194M $38.67 378
2018 Q3 158M $8.82B +$168M $55.82 408
2018 Q2 157M $6.99B +$396M $44.61 406
2018 Q1 149M $7.72B +$372M $51.99 435
2017 Q4 143M $8.72B +$3.88B $61.16 487
2017 Q3 73.2M $8.08B -$316M $110.28 407
2017 Q2 76.4M $6.49B -$99.3M $84.90 374
2017 Q1 76.9M $6.46B +$409M $83.95 342
2016 Q4 78.8M $5.01B -$47.1M $63.62 320
2016 Q3 79.6M $4.2B -$17M $52.86 279
2016 Q2 78.8M $3.39B -$82.6M $43.10 261
2016 Q1 81.5M $3.17B +$158M $38.95 244
2015 Q4 77.6M $2.62B +$40.7M $33.77 247
2015 Q3 75.4M $2.59B -$80.6M $34.37 242
2015 Q2 75.6M $3.64B -$59.4M $48.10 261
2015 Q1 77.5M $3.85B +$34.6M $49.59 240
2014 Q4 77.2M $3.19B -$105M $41.33 238
2014 Q3 80M $3.22B +$21.1M $40.27 223
2014 Q2 79.5M $3.05B -$25.4M $38.40 207
2014 Q1 79.5M $2.69B +$42.7M $33.86 210