Eastern Bankshares, Inc. - COM (EBC) Institutional Ownership

13F Institutional Holders and Ownership History from Q4 2020 to Q4 2025

Type / Class
Equity / COM
Symbol
EBC on Nasdaq
Price per share
$18.43
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
152,140,729
Total reported value
$2,761,349,767
% of total 13F portfolios
0%
Share change
+5,613,307
Value change
+$118,734,443
Number of holders
263
Price from insider filings
$18.43
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 263 institutional investors reported holding 152,140,729 shares of Eastern Bankshares, Inc. - COM (EBC).

Institutional Holders of Eastern Bankshares, Inc. - COM (EBC) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 4,074,671 $75,142,098 -$2,757,909 $18.43 34
2025 Q3 152,140,729 $2,761,349,767 +$118,734,443 $18.15 263
2025 Q2 146,593,490 $2,238,486,667 +$6,474,088 $15.27 285
2025 Q1 140,952,002 $2,311,481,857 -$101,521,061 $16.40 268
2024 Q4 146,896,715 $2,533,982,474 +$108,937,567 $17.25 240
2024 Q3 140,516,836 $2,301,749,831 +$314,200,265 $16.39 236
2024 Q2 119,049,110 $1,664,399,124 +$71,348,529 $13.98 191
2024 Q1 114,069,990 $1,571,721,733 +$42,493,994 $13.78 193
2023 Q4 381,612 $5,418,890 +$398,237 $14.20 1
2023 Q3 103,961,684 $1,303,670,649 +$37,293,734 $12.54 174
2023 Q2 101,047,471 $1,240,116,743 +$34,589,663 $12.27 173
2023 Q1 99,174,548 $1,251,552,126 -$13,439,793 $12.62 199
2022 Q4 97,551,977 $1,682,781,288 -$13,321,012 $17.25 212
2022 Q3 98,014,382 $1,925,024,194 -$11,199,637 $19.64 209
2022 Q2 96,139,686 $1,768,836,239 -$31,417,745 $18.46 205
2022 Q1 97,266,572 $2,095,050,235 +$82,156,007 $21.54 201
2021 Q4 92,132,003 $1,858,590,995 +$70,857,511 $20.17 194
2021 Q3 89,683,658 $1,819,709,909 +$6,662,997 $20.30 174
2021 Q2 89,297,607 $1,836,719,537 -$71,927,342 $20.57 179
2021 Q1 92,730,973 $1,789,231,556 +$161,745,751 $19.29 147
2020 Q4 84,647,081 $1,380,604,337 +$1,379,055,454 $16.31 136