FAIR ISAAC CORP - Common Stock (FICO)

Historical Holders from Q1 2014 to Q3 2025

Symbol
FICO on NYSE
CUSIP
303250104
Type / Class
Equity / Common Stock
Shares outstanding
24.4M
All holders as of June 30, 2025
Q2 2025
Total 13F shares, excl. options
21.2M
Holdings value
$38.7B
% of all portfolios
0.042%
Grand Portfolio weight change
+0.001%
Number of holders
999
Number of buys
496
Number of sells
-442
Average Value change %
-0.01%
Average buys %
+0.008%
Average sells %
-0.016%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of FAIR ISAAC CORP - Common Stock (FICO)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 8.6% $3.88B 2.1M BlackRock, Inc. Mar 31, 2025

Institutional Holders of FAIR ISAAC CORP - Common Stock (FICO)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 1.37K $2.04M -$815K $1,496.53 5
2025 Q2 21.2M $38.7B +$399M $1,827.96 999
2025 Q1 21M $38.7B +$95M $1,844.16 949
2024 Q4 20.9M $41.7B -$192M $1,990.93 982
2024 Q3 20.9M $40.7B -$1.66B $1,943.52 909
2024 Q2 21.9M $32.6B +$1.51B $1,488.66 811
2024 Q1 21M $26.2B -$279M $1,249.61 772
2023 Q4 449K $523M -$23.3M $1,164.01 11
2023 Q3 21.1M $18.3B -$127M $868.53 662
2023 Q2 21M $17B -$1.22B $809.21 648
2023 Q1 22.1M $15.5B +$306M $702.69 596
2022 Q4 21M $12.6B -$80M $598.58 552
2022 Q3 21.9M $9.04B -$277M $412.01 504
2022 Q2 21.6M $8.66B -$107M $400.90 488
2022 Q1 22.1M $10.3B -$260M $466.46 531
2021 Q4 22.1M $9.59B -$353M $433.67 510
2021 Q3 22.8M $9.08B -$615M $397.93 491
2021 Q2 24.2M $12.2B -$199M $502.68 485
2021 Q1 24.6M $11.9B +$234M $486.05 469
2020 Q4 24.2M $12.4B +$141M $511.04 489
2020 Q3 23.6M $10B -$120M $425.38 453
2020 Q2 24.8M $10.4B +$17M $418.04 433
2020 Q1 25.4M $7.82B +$10.2M $307.69 390
2019 Q4 25.1M $9.39B +$137M $374.68 386
2019 Q3 24.3M $7.39B +$72.6M $303.52 373
2019 Q2 24.1M $7.55B +$26M $314.02 382
2019 Q1 24.4M $6.64B +$86.8M $271.63 329
2018 Q4 24.3M $4.53B -$116M $187.00 308
2018 Q3 24.6M $5.61B -$105M $228.55 320
2018 Q2 25.1M $4.85B -$86.3M $193.32 305
2018 Q1 25.7M $4.36B -$71.3M $169.37 284
2017 Q4 26.1M $4B -$94.2M $153.20 274
2017 Q3 26.7M $3.76B -$68.4M $140.50 238
2017 Q2 27M $3.77B -$76.1M $139.41 252
2017 Q1 28M $3.61B +$374M $128.95 251
2016 Q4 28.1M $3.35B -$27.7M $119.22 246
2016 Q3 27.8M $3.46B -$30.3M $124.59 265
2016 Q2 28.3M $3.2B -$55.9M $113.01 231
2016 Q1 28.1M $2.99B -$17.7M $106.09 215
2015 Q4 29M $2.73B +$56.8M $94.18 211
2015 Q3 28.2M $2.38B +$16.5M $84.50 208
2015 Q2 27.5M $2.5B -$15.1M $90.78 209
2015 Q1 28.3M $2.51B +$68.6M $88.72 208
2014 Q4 27.8M $2.01B -$73.7M $72.30 203
2014 Q3 29M $1.6B -$97.3M $55.10 182
2014 Q2 30.5M $1.94B -$140M $63.76 184
2014 Q1 31.1M $1.72B -$15.8M $55.32 168