MEXICAN ECONOMIC DEVELOPMENT INC - CLASS D COMMON STOCK (FMX)

Historical Holders from Q1 2014 to Q3 2025

Symbol
FMX on NYSE
CUSIP
344419106
Type / Class
Equity / CLASS D COMMON STOCK
Shares outstanding
2.14B
All holders as of September 30, 2025
Q3 2025
Total 13F shares, excl. options
63M
Holdings value
$6.22B
% of all portfolios
0.012%
Grand Portfolio weight change
-0.001%
Number of holders
271
Number of buys
121
Number of sells
-140
Average Value change %
+0%
Average buys %
+0.005%
Average sells %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of MEXICAN ECONOMIC DEVELOPMENT INC - CLASS D COMMON STOCK (FMX)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
First Eagle Investment Management, LLC 6% $12.2B 127M First Eagle Investment Management, LLC Dec 31, 2024
FMR LLC 5.9% $12.2B 126M FMR LLC Dec 31, 2024

Institutional Holders of MEXICAN ECONOMIC DEVELOPMENT INC - CLASS D COMMON STOCK (FMX)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 63M $6.22B -$609M $98.63 271
2025 Q2 69.2M $7.09B +$222M $102.98 278
2025 Q1 67.2M $6.57B -$86.9M $97.58 272
2024 Q4 67.6M $5.78B +$51.2M $85.49 287
2024 Q3 64.9M $6.41B +$73.2M $98.71 308
2024 Q2 64.7M $6.95B -$248M $107.65 304
2024 Q1 67M $8.71B -$547M $130.27 332
2023 Q4 427K $55.6M +$3.27M $130.35 5
2023 Q3 68.8M $7.5B -$224M $109.15 298
2023 Q2 71.5M $7.92B -$216M $110.84 280
2023 Q1 71.7M $6.82B -$395M $95.19 255
2022 Q4 77.9M $6.09B +$223M $78.12 256
2022 Q3 75.5M $4.74B +$439M $62.75 230
2022 Q2 68.5M $4.61B +$223M $67.49 236
2022 Q1 64.9M $5.26B -$353M $82.85 225
2021 Q4 61.2M $4.75B -$562M $77.71 230
2021 Q3 69.1M $5.98B -$132M $86.72 234
2021 Q2 71.2M $6.02B -$126M $84.51 234
2021 Q1 72.8M $5.48B +$227M $75.33 226
2020 Q4 65.8M $4.98B +$116M $75.77 209
2020 Q3 68.2M $3.83B +$12.7M $56.19 199
2020 Q2 67.9M $4.21B +$51.5M $62.01 221
2020 Q1 67.2M $4.06B -$139M $60.51 217
2019 Q4 68.1M $6.42B -$268M $94.51 254
2019 Q3 66.3M $6.07B -$99M $91.58 243
2019 Q2 67.4M $6.51B +$162M $96.75 255
2019 Q1 72.6M $6.69B +$123M $92.28 249
2018 Q4 73M $6.28B +$174M $86.05 234
2018 Q3 70.9M $7.03B -$41.8M $98.97 224
2018 Q2 71.5M $6.29B +$128M $87.79 220
2018 Q1 65.5M $6B -$273M $91.43 219
2017 Q4 72.4M $6.81B -$356M $93.90 220
2017 Q3 75.1M $7.19B -$44.5M $95.53 204
2017 Q2 77M $7.59B -$415M $98.34 200
2017 Q1 80.8M $7.18B +$211M $88.52 217
2016 Q4 80.6M $6.16B +$96.9M $76.21 225
2016 Q3 79.1M $7.29B +$525M $92.04 220
2016 Q2 73.6M $6.82B +$96.9M $92.49 228
2016 Q1 72.3M $6.97B -$552M $96.31 233
2015 Q4 77.7M $7.36B -$1.03B $92.35 238
2015 Q3 77.8M $6.95B -$57.7M $89.25 217
2015 Q2 77.4M $6.9B -$21.4M $89.09 206
2015 Q1 78.6M $7.35B +$116M $93.50 214
2014 Q4 77.4M $6.81B +$72M $88.03 220
2014 Q3 73.6M $6.77B -$78.5M $92.05 211
2014 Q2 74M $6.92B -$153M $93.65 222
2014 Q1 76.4M $7.12B -$259M $93.24 217