CrowdStrike Holdings, Inc. - CL A (CRWD) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2019 to Q4 2025

Type / Class
Equity / CL A
Symbol
CRWD on Nasdaq
Price per share
$468.76
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
172,340,713
Total reported value
$84,474,624,684
% of total 13F portfolios
0.08%
Share change
-6,223,580
Value change
-$3,152,939,964
Number of holders
1,991
Price from insider filings
$468.76
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 1,991 institutional investors reported holding 172,340,713 shares of CrowdStrike Holdings, Inc. - CL A (CRWD).

Institutional Holders of CrowdStrike Holdings, Inc. - CL A (CRWD) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 5,178,953 $2,428,563,356 +$306,011,536 $468.76 443
2025 Q3 172,340,713 $84,474,624,684 -$3,152,939,964 $490.38 1,991
2025 Q2 178,490,352 $90,837,828,335 +$4,654,304,034 $509.31 2,012
2025 Q1 169,501,391 $59,746,701,027 +$778,821,748 $352.58 1,794
2024 Q4 167,501,304 $57,356,278,990 +$2,030,004,742 $342.16 1,751
2024 Q3 160,626,683 $45,129,915,757 -$3,311,468,576 $280.47 1,558
2024 Q2 170,309,211 $65,251,553,801 +$4,726,034,509 $383.19 1,599
2024 Q1 157,719,599 $50,516,647,649 -$1,404,324,944 $320.59 1,505
2023 Q4 4,611,435 $1,177,086,103 -$442,488,175 $255.32 22
2023 Q3 150,836,011 $25,268,948,527 +$207,390,235 $167.38 1,087
2023 Q2 150,208,088 $22,049,461,338 +$313,710,220 $146.87 1,020
2023 Q1 148,360,191 $20,341,572,508 -$420,349,075 $137.26 971
2022 Q4 151,507,783 $15,940,558,446 -$497,834,686 $105.29 925
2022 Q3 154,596,519 $25,499,346,320 -$847,319,226 $164.81 1,004
2022 Q2 157,937,184 $26,627,696,512 +$606,293,419 $168.56 1,000
2022 Q1 153,811,813 $34,881,944,570 +$1,962,285,534 $227.08 1,068
2021 Q4 142,760,763 $29,209,152,330 -$477,774,466 $204.75 1,017
2021 Q3 145,877,952 $35,849,376,057 +$1,173,605,790 $245.78 998
2021 Q2 135,774,712 $34,126,420,107 +$691,109,257 $251.31 933
2021 Q1 136,166,590 $24,850,002,866 -$948,452,283 $182.51 860
2020 Q4 142,659,175 $30,213,358,063 +$1,760,719,960 $211.82 841
2020 Q3 125,480,835 $17,220,720,814 -$501,531,587 $137.32 654
2020 Q2 135,595,777 $13,589,978,226 +$3,937,273,402 $100.29 547
2020 Q1 109,257,298 $6,080,555,030 +$1,654,974,186 $55.68 343
2019 Q4 82,190,929 $4,099,012,980 +$335,020,716 $49.87 234
2019 Q3 72,558,777 $4,230,345,670 -$37,477,943 $58.31 156
2019 Q2 71,516,211 $4,879,070,843 +$4,879,005,867 $68.29 153
2019 Q1 1,957 $486,000 +$2,000 $157.91 2