ERIE INDEMNITY CO - Class A Common Stock (ERIE)

Historical Holders from Q1 2014 to Q3 2025

Symbol
ERIE on Nasdaq
CUSIP
29530P102
Type / Class
Equity / Class A Common Stock
Shares outstanding
46.2M
All holders as of June 30, 2025
Q2 2025
Total 13F shares, excl. options
23.4M
Holdings value
$8.1B
% of all portfolios
0.005%
Grand Portfolio weight change
+0.002%
Number of holders
407
Number of buys
224
Number of sells
-188
Average Value change %
+0%
Average buys %
+0.001%
Average sells %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of ERIE INDEMNITY CO - Class A Common Stock (ERIE)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
PNC FINANCIAL SERVICES GROUP, INC. 11% -11.5% $2.04B -$281M 5.08M -12.1% The PNC Financial Services Group, Inc. Mar 31, 2025
VANGUARD GROUP INC 6.39% $1.19B 2.95M The Vanguard Group Dec 31, 2024

Institutional Holders of ERIE INDEMNITY CO - Class A Common Stock (ERIE)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 949 $302K +$37.9K $318.04 2
2025 Q2 23.4M $8.1B +$1.22B $346.79 407
2025 Q1 19.8M $8.3B +$1.07B $419.05 406
2024 Q4 17.2M $7.1B +$199M $412.23 393
2024 Q3 16.7M $9.01B +$317M $539.82 365
2024 Q2 16.8M $6.07B -$39.2M $362.40 304
2024 Q1 16.9M $6.77B +$70.1M $401.57 313
2023 Q4 78.6K $26.3M -$8.62M $334.92 6
2023 Q3 16.9M $4.96B +$314M $293.79 297
2023 Q2 15.9M $3.35B -$7.19B $210.01 272
2023 Q1 50.1M $11.6B +$7.72B $231.66 259
2022 Q4 16.4M $4.07B -$4.42M $248.72 276
2022 Q3 16.4M $3.64B -$8.24M $222.31 234
2022 Q2 16.2M $3.12B -$42.8M $192.19 222
2022 Q1 16.6M $2.91B -$41.2M $176.13 235
2021 Q4 16.9M $3.25B +$22.6M $192.66 234
2021 Q3 16.8M $2.99B +$3.62M $178.42 217
2021 Q2 16.9M $3.25B -$12.2M $193.35 210
2021 Q1 16.9M $3.72B +$36M $220.91 222
2020 Q4 16.7M $4.1B +$122M $245.60 216
2020 Q3 16.2M $3.4B -$8.14M $210.28 222
2020 Q2 16.1M $3.1B +$9.61M $191.90 205
2020 Q1 16.1M $2.39B -$96.2M $148.24 199
2019 Q4 16.7M $2.77B -$2.69M $166.00 214
2019 Q3 16.7M $3.1B +$105M $185.65 210
2019 Q2 16M $4.08B +$383M $254.28 204
2019 Q1 14.8M $2.64B +$21.6M $178.52 171
2018 Q4 14.5M $1.93B +$20.5M $133.31 147
2018 Q3 14.5M $1.85B +$12.8M $127.53 141
2018 Q2 14.4M $1.69B -$4.72M $117.26 128
2018 Q1 14.5M $1.7B +$8.81M $117.64 134
2017 Q4 14.5M $1.76B +$2.87M $121.84 139
2017 Q3 14.3M $1.73B -$4.28M $120.57 120
2017 Q2 14.4M $1.8B +$20.4M $125.07 126
2017 Q1 14.2M $1.75B +$105M $122.70 124
2016 Q4 14.3M $1.6B +$5.78M $112.45 135
2016 Q3 14M $1.43B +$8.63M $102.07 129
2016 Q2 13.9M $1.38B +$14.4M $99.34 136
2016 Q1 14M $1.3B -$7.46M $92.99 138
2015 Q4 14M $1.34B +$10.3M $95.64 127
2015 Q3 13.9M $1.15B -$5.26M $82.94 110
2015 Q2 13.8M $1.14B -$3.97M $82.07 111
2015 Q1 14M $1.22B +$7.14M $87.26 113
2014 Q4 13.9M $1.26B -$13.1M $90.77 115
2014 Q3 14.1M $1.07B +$11M $75.81 109
2014 Q2 13.9M $1.05B +$1.58M $75.26 110
2014 Q1 13.9M $971M -$8.08M $69.76 105