First Quantum Minerals Ltd Com - COM (FQVLF) Institutional Ownership

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

Type / Class
Equity / COM
Symbol
FQVLF
Price per share
$26.83
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
60,673
Total reported value
$1,371,230
% of total 13F portfolios
0%
Share change
+48,115
Value change
+$1,087,412
Number of holders
4
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 4 institutional investors reported holding 60,673 shares of First Quantum Minerals Ltd Com - COM (FQVLF).

Institutional Holders of First Quantum Minerals Ltd Com - COM (FQVLF) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 55,068 $1,477,364 +$192,518 $26.83 1
2025 Q3 60,673 $1,371,230 +$1,087,412 $22.61 4
2025 Q2 12,558 $222,783 +$12,879 $17.74 3
2025 Q1 11,832 $159,145 -$7,065 $13.46 2
2024 Q4 12,379 $159,928 -$1,244,262 $12.91 4
2024 Q3 79,631 $1,412,683 +$1,254,543 $13.65 3
2024 Q2 11,519 $152,051 $0 $13.20 1
2024 Q1 11,603 $125,081 $0 $10.78 2
2023 Q4 11,519 $95,262 -$212,099 $8.27 1
2023 Q3 20,491 $484,408 +$200,770 $23.64 2
2023 Q2 11,998 $283,753 +$95 $23.65 3
2023 Q1 11,994 $275,742 -$407,310 $22.99 2
2022 Q4 31,617 $659,421 +$22,023 $20.86 3
2022 Q3 30,561 $518,000 +$27,682 $16.95 3
2022 Q2 46,762 $889,000 +$47,064 $19.01 4
2022 Q1 26,452 $921,000 +$26,421 $34.81 3
2021 Q4 25,468 $610,000 -$86,936 $24.03 3
2021 Q3 19,731 $366,000 -$353,999 $18.56 3
2021 Q2 35,155 $810,000 -$5,488,655 $23.05 4
2021 Q1 272,823 $5,198,000 -$1,124,480 $19.06 4
2020 Q4 331,841 $5,952,000 -$105,097,314 $17.90 4
2020 Q3 11,532,827 $102,485,000 +$24,823,782 $8.89 4
2020 Q2 8,739,395 $69,428,000 +$37,015,237 $7.95 4
2020 Q1 250 $1,000 $0 $4.00 1
2019 Q4 2,528,153 $25,676,000 +$14,095,695 $10.16 3
2019 Q3 1,140,276 $9,585,000 -$835,501 $8.38 3
2019 Q2 1,239,667 $11,800,000 +$1,321,524 $9.47 3
2019 Q1 1,098,981 $12,461,000 +$12,204,987 $11.32 5
2018 Q4 22,611 $182,000 -$57,242 $8.05 3
2018 Q3 29,720 $339,000 -$3,267,237 $11.46 3
2018 Q2 298,996 $4,408,000 -$11,022,286 $14.74 6
2018 Q1 1,083,708 $15,210,000 +$11,638,297 $14.02 5
2017 Q4 254,758 $3,569,000 -$21,391 $14.02 2
2017 Q3 256,282 $2,879,000 -$30,898,459 $11.24 2
2017 Q2 3,913,925 $33,057,000 -$1,743,719 $8.45 3
2017 Q1 4,120,888 $43,666,149 +$40,947,641 $10.60 4
2016 Q4 256,051 $3,269,838 +$146,720 $9.95 3
2016 Q3 246,033 $2,039,016 -$1,240,928 $8.27 3
2016 Q2 429,544 $3,000,394 +$1,522,876 $6.98 4
2016 Q1 211,470 $1,385,571 -$2,421,966 $5.35 3
2015 Q4 863,743 $3,223,812 +$2,459,139 $3.74 4
2015 Q3 204,268 $746,773 -$33,233,897 $3.65 3
2015 Q2 2,567,266 $33,629,357 +$33,223,591 $13.09 5
2015 Q1 202,303 $2,447,890 -$25,720 $12.10 3
2014 Q4 204,072 $3,296,927 +$102,996 $14.34 4
2014 Q3 197,139 $4,628,000 -$21,493 $21.79 2
2014 Q2 198,250 $4,733,000 -$19,420,888 $22.88 2
2014 Q1 1,249,438 $23,446,890 +$14,123,991 $18.81 5