Discover Financial Services - Common Stock (DFS)

Historical Holders from Q1 2014 to Q3 2025

Type / Class
Equity / Common Stock
Symbol
DFS on NYSE
Shares outstanding
251,545,513
Price per share
$200.04
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
25,167
Total reported value
$4,454,890
% of total 13F portfolios
0%
Share change
-186,912
Value change
-$29,294,501
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
3
Price from insider filings
$182.55
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of Discover Financial Services - Common Stock (DFS) based on Schedule 13D/G filings

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 7.6% -12% $2,811,031,171 -$389,904,939 19,117,459 -12% BlackRock, Inc. 31 Mar 2025
As of 30 Sep 2025, Discover Financial Services - Common Stock (DFS) has 3 institutional shareholders filing 13F forms. They hold 25,167 shares of 251,545,513 outstanding shares (0.01%) .

Institutional Holders of Discover Financial Services - Common Stock (DFS) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q3 25,167 $4,454,890 -$29,294,501 20,000% 3
2025 Q2 104,260 $15,344,639 -$36,154,588,922 17,322.86% 9
2025 Q1 212,650,151 $36,280,444,956 -$812,096,567 17,070% 1,157
2024 Q4 210,265,605 $36,441,910,192 +$312,008,718 17,323% 1,148
2024 Q3 208,143,423 $29,197,197,989 -$720,125,277 14,029% 1,047
2024 Q2 211,963,274 $27,718,554,082 +$540,911,017 13,081% 1,013
2024 Q1 207,764,982 $27,210,092,359 -$1,117,437,812 13,109% 1,021
2023 Q4 240,818 $27,067,645 -$3,616,517 11,240% 12
2023 Q3 207,514,395 $17,980,263,150 -$384,870,729 8,663% 878
2023 Q2 207,966,714 $24,269,902,503 -$789,383,229 11,685% 950
2023 Q1 213,445,009 $21,090,193,385 -$870,631,979 9,884% 928
2022 Q4 223,320,840 $21,849,670,573 -$235,090,755 9,783% 950
2022 Q3 218,348,465 $19,861,608,604 -$126,365,515 9,092% 893
2022 Q2 216,716,966 $20,495,260,729 -$290,871,135 9,458% 909
2022 Q1 224,178,950 $24,710,915,611 -$692,508,410 11,018.98% 919
2021 Q4 243,323,160 $28,116,278,864 -$1,045,894,887 11,556% 956
2021 Q3 250,079,107 $30,721,388,934 -$1,070,815,245 12,284.99% 922
2021 Q2 258,333,104 $30,540,806,398 -$49,333,663 11,828.96% 908
2021 Q1 260,631,237 $24,750,874,790 +$56,628,003 9,498.99% 876
2020 Q4 241,996,454 $21,896,922,709 +$730,460,352 9,052.97% 831
2020 Q3 260,558,137 $15,044,647,722 +$366,781,061 5,777.99% 719
2020 Q2 255,989,010 $12,810,328,366 +$179,676,851 5,008.99% 714
2020 Q1 230,781,116 $8,232,261,357 -$571,680,471 3,567.01% 683
2019 Q4 265,033,561 $22,455,504,317 -$22,347,739 8,481.92% 861
2019 Q3 267,651,415 $21,688,079,808 -$436,900,264 8,108.99% 843
2019 Q2 272,339,527 $21,109,569,957 +$93,722,230 7,759% 832
2019 Q1 274,726,257 $19,538,723,728 -$601,298,823 7,116% 817
2018 Q4 285,414,039 $16,816,164,887 -$357,975,566 5,897.99% 811
2018 Q3 290,148,158 $22,148,557,781 -$391,818,395 7,644.99% 838
2018 Q2 296,090,069 $20,829,540,738 -$432,861,848 7,041% 840
2018 Q1 300,999,618 $21,633,272,167 -$108,247,023 7,192.99% 831
2017 Q4 306,206,486 $23,534,728,973 -$131,995,508 7,692.01% 819
2017 Q3 311,250,990 $20,066,613,192 -$615,920,620 6,448% 738
2017 Q2 321,236,347 $19,981,335,376 -$21,910,337 6,218.98% 788
2017 Q1 325,474,724 $22,264,411,680 +$1,526,453,339 6,839.01% 788
2016 Q4 330,286,291 $23,787,162,856 -$239,328,418 7,209% 783
2016 Q3 335,598,051 $18,970,734,440 -$482,613,539 5,655% 719
2016 Q2 344,259,952 $18,448,482,545 -$415,800,492 5,358.99% 718
2016 Q1 354,130,254 $18,027,007,211 -$286,826,088 5,091.99% 693
2015 Q4 358,127,019 $19,203,708,804 -$240,754,777 5,362% 731
2015 Q3 360,416,677 $18,735,709,806 -$105,666,325 5,198.99% 700
2015 Q2 353,128,834 $20,340,017,544 -$430,696,559 5,761.99% 742
2015 Q1 371,469,341 $20,931,728,222 -$491,695,575 5,635% 767
2014 Q4 379,466,173 $24,829,689,897 -$638,543,867 6,549% 785
2014 Q3 387,201,016 $24,930,681,873 -$236,706,244 6,439% 727
2014 Q2 390,302,947 $24,190,599,841 +$12,299,780 6,198% 717
2014 Q1 391,690,227 $22,784,685,331 -$147,371,971 5,819% 690