Five Point Holdings, LLC - Class A Common Stock (FPH)

Historical Holders from Q2 2017 to Q3 2025

Symbol
FPH on NYSE
CUSIP
33833Q106
Type / Class
Equity / Class A Common Stock
All holders as of June 30, 2025
Q2 2025
Total 13F shares, excl. options
38.9M
Holdings value
$214M
% of all portfolios
0.001%
Grand Portfolio weight change
0%
Number of holders
79
Number of buys
33
Number of sells
-38
Average Value change %
0%
Average buys %
+0%
Average sells %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of Five Point Holdings, LLC - Class A Common Stock (FPH)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 2.33M $14.3M +$261K $6.13 3
2025 Q2 38.9M $214M -$756K $5.50 79
2025 Q1 39.1M $209M +$497K $5.34 76
2024 Q4 38.4M $145M -$7.4M $3.78 66
2024 Q3 37.3M $155M -$2.47M $4.15 67
2024 Q2 40.9M $120M -$463K $2.93 56
2024 Q1 41.1M $129M -$726K $3.13 54
2023 Q4 751K $2.3M -$488K $3.07 1
2023 Q3 43.4M $129M -$881K $2.97 56
2023 Q2 43.7M $126M +$1.34M $2.89 49
2023 Q1 43.2M $102M -$3.73M $2.36 48
2022 Q4 44.8M $104M -$3.43M $2.33 54
2022 Q3 46.1M $120M -$4.28M $2.60 61
2022 Q2 47.1M $184M -$269K $3.91 66
2022 Q1 47.5M $290M +$2.12M $6.11 75
2021 Q4 46.9M $307M -$12.4M $6.54 77
2021 Q3 54.9M $430M -$3.98M $7.83 58
2021 Q2 55.4M $448M +$965K $8.08 69
2021 Q1 55.3M $418M -$3.51M $7.56 71
2020 Q4 55.3M $300M -$3.03M $5.46 64
2020 Q3 49.7M $208M -$2.63M $4.17 59
2020 Q2 50.7M $234M -$7.49M $4.60 56
2020 Q1 51.3M $260M +$8.07M $5.07 56
2019 Q4 49.4M $343M -$11.6M $6.95 59
2019 Q3 50.7M $381M +$5.51M $7.50 53
2019 Q2 49.8M $375M -$2.71M $7.52 58
2019 Q1 38.8M $280M -$11.8M $7.21 59
2018 Q4 52M $361M -$20.2M $6.94 61
2018 Q3 53.1M $500M -$24.8M $9.41 57
2018 Q2 55.5M $625M +$51.1M $11.25 54
2018 Q1 50.4M $719M +$78.6M $14.26 61
2017 Q4 45M $635M -$40.7M $14.10 54
2017 Q3 48.4M $660M +$23.1M $13.64 47
2017 Q2 46.4M $682M +$682M $14.76 47