Freshpet, Inc. - Common Stock (FRPT)

Historical Holders from Q4 2014 to Q3 2025

Symbol
FRPT on Nasdaq
CUSIP
358039105
Type / Class
Equity / Common Stock
Shares outstanding
48.9M
All holders as of September 30, 2025
Q3 2025
Total 13F shares, excl. options
57.8M
Holdings value
$3.19B
% of all portfolios
0.004%
Grand Portfolio weight change
0%
Number of holders
311
Number of buys
169
Number of sells
-197
Average Value change %
0%
Average buys %
+0.001%
Average sells %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of Freshpet, Inc. - Common Stock (FRPT)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 11.6% $453M 5.64M BlackRock, Inc. Mar 31, 2025
VANGUARD GROUP INC 10.72% $419M 5.22M The Vanguard Group Mar 31, 2025
WASATCH ADVISORS LP 7.9% +38.3% $218M $63.5M 3.84M +41% WASATCH ADVISORS LP Jun 30, 2025
Champlain Investment Partners, LLC 5.3% +42.5% $175M $56M 2.57M +47.2% Champlain Investment Partners, LLC Jun 30, 2025
WELLINGTON MANAGEMENT GROUP LLP 4.7% $127M 2.3M Wellington Management Group LLP Sep 30, 2025

Institutional Holders of Freshpet, Inc. - Common Stock (FRPT)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 57.8M $3.19B -$235M $55.11 311
2025 Q2 60.3M $4.1B +$117M $67.96 341
2025 Q1 58.2M $4.85B +$187M $83.17 346
2024 Q4 52.6M $7.8B +$64.7M $148.11 397
2024 Q3 52.1M $7.15B -$223M $136.77 372
2024 Q2 53.3M $6.9B -$34.3M $129.39 373
2024 Q1 53.8M $6.23B -$342M $115.86 320
2023 Q4 19.6K $1.7M -$215K $86.76 3
2023 Q3 56.9M $3.75B -$2.68M $65.88 243
2023 Q2 58M $3.82B +$64.8M $65.81 235
2023 Q1 56.9M $3.77B +$229M $66.19 250
2022 Q4 53.8M $2.84B -$6.62M $52.77 215
2022 Q3 53.8M $2.7B +$98.4M $50.09 209
2022 Q2 52M $2.7B +$304M $51.89 225
2022 Q1 46.6M $4.78B +$299M $102.64 236
2021 Q4 43.8M $4.17B +$51.5M $95.27 250
2021 Q3 41.8M $5.96B +$197M $142.69 272
2021 Q2 40.7M $6.63B -$64.4M $162.96 286
2021 Q1 41.4M $6.57B +$523M $158.81 266
2020 Q4 37.5M $5.32B -$79.3M $141.99 262
2020 Q3 38.5M $4.29B -$81.4M $111.65 230
2020 Q2 39.3M $3.29B +$110M $83.66 213
2020 Q1 37.7M $2.41B +$216M $63.87 197
2019 Q4 34.9M $2.06B -$69.4M $59.09 191
2019 Q3 36.3M $1.8B +$86M $49.77 171
2019 Q2 34.6M $1.58B +$212M $45.51 191
2019 Q1 30.6M $1.29B +$189M $42.29 165
2018 Q4 26.5M $852M +$19.6M $32.16 147
2018 Q3 25.9M $951M -$15.4M $36.70 140
2018 Q2 26.1M $716M +$53M $27.45 121
2018 Q1 26.1M $430M +$27.5K $16.45 109
2017 Q4 25.8M $489M +$29.6M $18.95 111
2017 Q3 24M $376M +$18.2M $15.65 97
2017 Q2 23.1M $384M +$38.9M $16.60 95
2017 Q1 20.2M $223M +$21.1M $11.00 85
2016 Q4 19.8M $201M -$20.9M $10.15 82
2016 Q3 22.2M $192M -$2.43M $8.65 91
2016 Q2 21.1M $197M +$1.31M $9.33 90
2016 Q1 21.2M $155M -$23.3M $7.33 80
2015 Q4 25.1M $214M -$54.6M $8.49 82
2015 Q3 30.4M $319M +$7.89M $10.50 82
2015 Q2 26.4M $491M +$61.5M $18.60 83
2015 Q1 24.1M $443M -$23.5M $19.43 73
2014 Q4 25.5M $426M +$422M $17.06 76