Dollarama Inc. - COM Institutional Ownership

13F Institutional Holders and Ownership History from Q3 2016 to Q4 2025

Type / Class
Equity / COM
Price per share
$149.48
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
17,449
Total reported value
$2,300,711
% of total 13F portfolios
0%
Share change
+2,816
Value change
+$371,299
Number of holders
1
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 1 institutional investors reported holding 17,449 shares of Dollarama Inc. - COM.

Institutional Holders of Dollarama Inc. - COM across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 17,502 $2,616,118 +$7,922 $149.48 1
2025 Q3 17,449 $2,300,711 +$371,299 $131.85 1
2025 Q2 14,633 $2,063,678 -$588,514 $141.03 1
2025 Q1 18,806 $2,011,726 +$37,013 $106.97 1
2024 Q4 18,460 $1,801,564 +$20,690 $97.59 1
2024 Q3 18,248 $1,869,327 -$3,893 $102.44 1
2024 Q2 18,286 $1,670,155 +$14,614 $91.34 1
2024 Q1 18,126 $1,381,000 +$15,923 $76.19 1
2023 Q4 17,917 $1,291,000 -$23,274 $72.05 1
2023 Q3 18,240 $1,257,000 -$3,446 $68.91 1
2023 Q2 18,290 $1,240,000 $0 $67.80 1
2023 Q1 18,290 $1,093,000 -$4,960 $59.76 1
2022 Q4 18,373 $1,075,000 +$3,394 $58.51 1
2022 Q3 18,315 $1,050,000 -$510,009 $57.33 1
2022 Q2 27,211 $1,567,000 -$6,623 $57.59 1
2022 Q1 27,326 $1,549,000 +$1,077 $56.69 1
2021 Q4 27,307 $1,368,000 +$501 $50.10 1
2021 Q3 27,297 $1,183,000 -$2,990 $43.34 1
2021 Q2 27,366 $1,253,000 -$18,086 $45.79 1
2021 Q1 27,761 $1,220,000 -$9,888 $43.95 1
2020 Q4 27,986 $1,142,000 -$2,000 $40.81 1
2020 Q3 28,035 $1,075,000 +$11,503 $38.34 1
2020 Q2 27,735 $923,000 -$499 $33.28 1
2020 Q1 27,750 $771,000 +$556 $27.78 1
2019 Q4 27,730 $954,000 $0 $34.40 1
2019 Q3 27,730 $993,000 +$6,446 $35.81 1
2019 Q2 27,550 $970,000 -$5,105 $35.21 1
2019 Q1 27,695 $739,000 +$231,880 $26.68 1
2018 Q4 19,005 $452,000 +$452,000 $23.78 1
2017 Q2 4,410 $421,000 +$64,916 $95.46 1
2017 Q1 3,730 $309,000 -$74,558 $82.84 1
2016 Q4 4,630 $339,000 -$42,174 $73.22 1
2016 Q3 5,206 $407,000 +$407,000 $78.18 1