Envista Holdings Corp - Common Stock (NVST)

Historical Holders from Q1 2019 to Q1 2025

Symbol
NVST on NYSE
CUSIP
29415F104
Type / Class
Equity / Common Stock
Shares outstanding
170M
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
195M
Holdings value
$3.76B
% of all portfolios
0.005%
Grand Portfolio weight change
+0%
Number of holders
284
Number of buys
112
Number of sells
-159
Average Value change %
0%
Average buys %
+0%
Average sells %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of Envista Holdings Corp - Common Stock (NVST)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 9.2% $274M 15.9M BlackRock, Inc. Mar 31, 2025
MORGAN STANLEY 8.2% $244M 14.1M Morgan Stanley Dec 31, 2024
ARIEL INVESTMENTS, LLC 6.6% $196M 11.4M Ariel Investments, LLC Sep 30, 2024
AMERICAN CENTURY INVESTMENT MANAGEMENT INC 4.5% $132M 7.67M American Century Investment Management, Inc. Dec 31, 2024

Institutional Holders of Envista Holdings Corp - Common Stock (NVST)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 3.3M $57M -$4.43M $17.26 35
2024 Q4 195M $3.76B +$8.61M $19.29 284
2024 Q3 191M $3.76B +$70.6M $19.76 291
2024 Q2 189M $3.14B +$116M $16.63 290
2024 Q1 181M $3.86B -$118M $21.38 297
2023 Q4 164M $3.95B +$110M $24.06 311
2023 Q3 172M $4.79B -$222M $27.88 308
2023 Q2 178M $6.02B -$196M $33.84 309
2023 Q1 183M $7.49B +$88.7M $40.88 306
2022 Q4 179M $6.03B +$409M $33.67 317
2022 Q3 176M $5.78B -$73.9M $32.81 295
2022 Q2 181M $6.97B +$90M $38.54 316
2022 Q1 181M $8.83B +$199M $48.71 335
2021 Q4 177M $7.95B +$111M $45.06 316
2021 Q3 174M $7.27B +$45.3M $41.81 318
2021 Q2 173M $7.46B +$58M $43.21 327
2021 Q1 175M $7.14B -$673M $40.80 295
2020 Q4 169M $5.68B +$21.1M $33.73 253
2020 Q3 176M $4.34B +$42.5M $24.68 196
2020 Q2 175M $3.7B +$357M $21.09 173
2020 Q1 155M $2.32B -$483M $14.94 168
2019 Q4 160M $4.74B +$3.69B $29.64 205
2019 Q3 33.5M $933M +$933M $27.88 73
2019 Q2 1.46K $63K $0 $43.27 1
2019 Q1 1.46K $63K $0 $43.27 1