Evolution AB - COM (EVVTY) Institutional Ownership

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

Type / Class
Equity / COM
Symbol
EVVTY
Price per share
$67.93
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
185,732
Total reported value
$15,228,435
% of total 13F portfolios
0%
Share change
+168,599
Value change
+$13,824,894
Number of holders
7
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 7 institutional investors reported holding 185,732 shares of Evolution AB - COM (EVVTY).

Institutional Holders of Evolution AB - COM (EVVTY) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 835 $56,722 -$43,815 $67.93 1
2025 Q3 185,732 $15,228,435 +$13,824,894 $81.99 7
2025 Q2 17,138 $1,362,202 -$2,654,020 $79.40 9
2025 Q1 50,357 $3,753,236 -$141,955 $74.53 7
2024 Q4 52,278 $4,017,758 -$4,337,858 $76.85 8
2024 Q3 102,654 $10,080,250 -$3,539,469 $98.19 10
2024 Q2 136,108 $14,193,218 -$7,741,357 $104.29 12
2024 Q1 197,868 $24,637,442 -$4,085,458 $124.52 12
2023 Q4 108,707 $12,977,111 -$1,272,206 $119.41 9
2023 Q3 121,654 $12,306,702 +$845,287 $100.81 14
2023 Q2 112,605 $14,242,324 -$7,486,715 $126.50 13
2023 Q1 167,167 $22,411,854 +$9,428,719 $133.86 12
2022 Q4 97,269 $9,504,148 -$5,300,802 $97.81 9
2022 Q3 159,180 $12,568,000 +$6,527,170 $78.68 9
2022 Q2 73,364 $6,659,000 +$1,088,062 $90.77 7
2022 Q1 61,404 $6,350,000 +$2,303,825 $102.09 7
2021 Q4 37,309 $5,309,000 -$3,935,948 $142.08 7
2021 Q3 65,255 $9,951,000 +$4,031,913 $152.34 9
2021 Q2 39,237 $6,222,000 -$15,363,532 $158.82 9
2021 Q1 145,390 $21,517,000 +$3,552,578 $148.59 4
2020 Q4 201,755 $20,381,000 +$2,746,289 $101.02 3
2020 Q3 94,199 $6,251,000 +$1,683,740 $66.36 1
2020 Q2 68,826 $4,151,000 +$4,150,999 $60.31 1
2018 Q3 0 $0 -$4,253,002 $67.93 0
2018 Q2 135,330 $4,253,000 -$1,685,613 $31.43 1
2018 Q1 188,966 $5,225,000 +$996,192 $27.65 1
2017 Q4 152,938 $5,437,000 -$438,799 $35.55 1
2017 Q3 165,281 $5,367,000 +$986,792 $32.47 1
2017 Q2 134,892 $3,554,000 -$2,418,602 $26.35 1
2017 Q1 226,690 $4,151,000 -$75,956 $18.31 1
2016 Q4 230,838 $3,297,000 +$3,740 $14.28 1
2016 Q3 230,486 $3,831,000 +$3,831,004 $16.82 2