DUNKIN BRANDS GROUP INC - COM (DNKN) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q1 2021

Type / Class
Equity / COM
Symbol
DNKN
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of DUNKIN BRANDS GROUP INC - COM (DNKN) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2021 Q1 0 $0 -$23,748,968 0
2020 Q4 222,995 $23,748,968 -$5,863,793,111 $106.50 1
2020 Q3 72,021,092 $5,898,027,108 +$111,635,814 $81.91 383
2020 Q2 71,746,722 $4,679,700,108 +$103,740,092 $65.23 386
2020 Q1 71,293,522 $3,786,130,483 -$96,565,116 $53.10 391
2019 Q4 72,234,693 $5,456,652,562 -$23,471,218 $75.54 430
2019 Q3 72,244,257 $5,732,403,524 -$68,346,366 $79.36 404
2019 Q2 72,721,296 $5,793,269,683 -$13,643,875 $79.66 393
2019 Q1 74,154,020 $5,569,004,148 -$254,842,133 $75.10 398
2018 Q4 76,670,857 $4,919,614,179 -$120,675,055 $64.12 406
2018 Q3 78,833,791 $5,811,343,882 -$329,646,229 $73.72 386
2018 Q2 83,359,734 $5,758,226,253 +$103,054,839 $69.07 361
2018 Q1 82,387,101 $4,918,662,779 +$173,066,059 $59.69 357
2017 Q4 80,225,722 $5,171,805,764 -$69,087,884 $64.47 351
2017 Q3 82,195,806 $4,363,844,442 -$110,965,964 $53.08 325
2017 Q2 84,191,575 $4,640,234,715 +$358,611,237 $55.12 315
2017 Q1 87,172,123 $4,766,778,236 +$377,612,528 $54.68 319
2016 Q4 87,326,164 $4,579,090,166 -$272,496,740 $52.44 334
2016 Q3 92,537,028 $4,817,665,565 +$175,179,972 $52.08 304
2016 Q2 89,888,119 $3,921,294,374 -$90,336,269 $43.62 310
2016 Q1 92,470,683 $4,362,006,543 -$343,928,529 $47.17 305
2015 Q4 100,500,211 $4,279,828,324 +$205,683,188 $42.59 306
2015 Q3 95,031,684 $4,652,315,821 -$113,340,839 $49.00 337
2015 Q2 96,468,511 $5,305,734,229 +$178,600,034 $55.00 315
2015 Q1 93,640,746 $4,453,321,284 -$86,658,199 $47.56 282
2014 Q4 96,137,934 $4,101,043,509 -$140,137,256 $42.65 272
2014 Q3 99,249,856 $4,448,242,335 -$157,958,468 $44.82 259
2014 Q2 102,699,185 $4,704,220,840 -$177,884,721 $45.81 274
2014 Q1 104,456,344 $5,240,996,279 +$147,422,389 $50.18 289