EXXON MOBIL CORP - CALL Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2025

Type / Class
Equity / CALL
Price per share
$3.77
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
41,400
Total reported value
$4,846,472
% of total 13F portfolios
0%
Share change
-73,500
Value change
-$8,286,103
Number of holders
2
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 2 institutional investors reported holding 41,400 shares of EXXON MOBIL CORP - CALL.

Institutional Holders of EXXON MOBIL CORP - CALL across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 $3.77 0
2025 Q3 41,400 $4,846,472 -$8,286,103 $112.75 2
2025 Q2 114,900 $12,542,820 +$4,576,685 $107.80 2
2025 Q1 73,900 $8,788,000 +$8,454,536 $118.93 1
2024 Q4 3,100 $333,467 -$2,870,001 $107.57 1
2024 Q3 24,481 $2,870,000 -$36,929 $117.22 13
2024 Q2 24,796 $2,854,000 +$168,620 $115.12 15
2024 Q1 23,331 $2,333,000 $0 $116.24 17
2023 Q4 $99.98 17
2023 Q3 23,395 $2,751,000 +$13,052 $117.58 20
2023 Q2 23,284 $2,497,000 -$35,282 $107.25 17
2023 Q1 23,613 $2,589,000 +$14,692 $109.66 20
2022 Q4 23,479 $2,590,000 -$544,938 $110.30 19
2022 Q3 $87.31 13
2022 Q2 $85.64 15
2022 Q1 $82.59 13
2021 Q4 $61.19 13
2021 Q3 25,343 $1,491,000 -$709,602 $58.82 12
2021 Q2 36,698 $2,314,000 +$624,000 $63.08 13
2021 Q1 36,757 $2,052,000 +$5,694 $55.83 11
2020 Q4 36,655 $1,511,000 -$160,313 $41.22 13
2020 Q3 40,544 $1,392,000 -$1,407,898 $34.33 11
2020 Q2 74,112 $3,314,000 +$1,328,410 $44.72 13
2020 Q1 $37.97 0
2019 Q4 $69.78 13
2019 Q3 55,683 $3,932,000 +$5,508 $70.61 13
2019 Q2 55,605 $4,261,000 +$16,552 $76.63 13
2019 Q1 55,389 $4,475,000 +$26,500 $80.80 14
2018 Q4 $68.19 10
2018 Q3 $85.02 9
2018 Q2 $82.73 9
2018 Q1 61,790 $4,610,000 +$29,246 $74.61 11
2017 Q4 61,398 $5,135,000 -$44,995 $83.64 1
2017 Q3 $81.98 9
2017 Q2 $80.73 12
2017 Q1 0 $0 -$323 $82.01 14
2016 Q4 63,815 $5,760 +$368 $90.26 13
2016 Q3 59,735 $5,214 -$11,089 $87.28 12
2016 Q2 174,000 $16,311 +$16,304 $93.74 11
2016 Q1 $83.59 10
2015 Q4 $77.95 12
2015 Q3 $74.35 11
2015 Q2 $83.20 12
2015 Q1 $85.00 9
2014 Q4 $92.45 7
2014 Q3 $94.05 8
2014 Q2 $100.68 7
2014 Q1 $97.68 5