Pacific Airport Group - SPON ADS B (PAC)

Historical Holders from Q1 2014 to Q4 2025

Type / Class
Equity / SPON ADS B
Symbol
PAC on NYSE
Price per share
$263.62
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
7,964,362
Total reported value
$1,889,106,446
% of total 13F portfolios
0%
Share change
-93,866
Value change
-$21,744,535
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
175
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, Pacific Airport Group - SPON ADS B (PAC) has 175 institutional shareholders filing 13F forms. They hold 7,964,362 shares. .

Institutional Holders of Pacific Airport Group - SPON ADS B (PAC) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 10,201 $2,695,932 +$1,103,658 26,362.5% 7
2025 Q3 7,964,362 $1,889,106,446 -$21,744,535 23,719% 175
2025 Q2 8,063,124 $1,851,830,771 +$126,616,931 22,962% 164
2025 Q1 7,169,308 $1,330,078,455 +$118,905,942 18,551% 150
2024 Q4 6,896,431 $1,206,855,828 +$97,635,733 17,499% 145
2024 Q3 6,233,031 $1,087,753,626 +$138,701,757 17,402% 136
2024 Q2 5,236,254 $818,757,427 +$5,597,807 15,577% 135
2024 Q1 5,267,410 $861,649,591 -$24,071,040 16,317% 124
2023 Q4 0 $0 -$846,341 0
2023 Q3 664,860 $109,212,007 -$31,507,221 16,437% 12
2023 Q2 6,048,613 $1,082,923,950 -$78,105,002 17,872% 151
2023 Q1 6,406,166 $1,249,825,199 -$6,477,826 19,511% 156
2022 Q4 6,461,982 $929,809,729 -$22,338,701 14,381% 136
2022 Q3 6,605,986 $838,475,747 +$27,170,618 12,678.1% 107
2022 Q2 6,391,889 $893,007,023 +$5,229,280 13,958.18% 116
2022 Q1 6,135,324 $988,583,489 -$9,338,732 16,123.03% 122
2021 Q4 6,229,446 $856,367,110 -$47,110,243 13,747.03% 113
2021 Q3 6,569,378 $765,351,958 -$24,692,366 11,631.95% 100
2021 Q2 6,729,946 $719,411,410 +$2,603,564 10,689.04% 114
2021 Q1 6,710,066 $705,829,624 +$46,652,932 10,518.86% 112
2020 Q4 6,304,732 $701,702,461 +$11,899,630 11,129.07% 104
2020 Q3 6,378,906 $514,695,148 +$239,985 8,063.96% 105
2020 Q2 6,370,684 $457,424,745 +$18,252,071 7,181.82% 105
2020 Q1 6,116,831 $328,196,380 +$15,364,641 5,394.09% 89
2019 Q4 5,581,639 $661,986,474 +$30,472,252 11,860.97% 122
2019 Q3 5,358,473 $515,802,229 +$10,835,282 9,651.34% 99
2019 Q2 5,243,945 $547,556,738 +$29,540,646 10,431.25% 103
2019 Q1 5,006,875 $445,588,032 +$39,967,974 8,896.74% 102
2018 Q4 4,503,920 $367,425,626 +$26,393,394 8,154.94% 85
2018 Q3 4,218,926 $460,282,923 +$14,114,016 10,917.59% 88
2018 Q2 4,119,097 $383,345,235 -$5,626,868 9,291% 87
2018 Q1 4,155,116 $413,871,940 +$5,132,713 9,963.71% 93
2017 Q4 4,055,362 $416,491,623 +$41,857,114 10,275.91% 90
2017 Q3 3,664,999 $375,758,531 +$20,381,610 10,252.52% 83
2017 Q2 3,518,277 $395,232,647 +$24,185,384 11,229.74% 81
2017 Q1 3,252,313 $316,015,714 +$31,794,852 9,710.11% 84
2016 Q4 3,105,674 $256,059,354 -$72,706,330 8,251.73% 75
2016 Q3 3,894,283 $369,800,313 -$11,476,178 9,496.58% 82
2016 Q2 4,042,899 $414,859,142 -$39,817,585 10,262.52% 89
2016 Q1 4,454,482 $395,098,274 -$88,795,278 8,870.78% 86
2015 Q4 5,450,972 $481,221,554 -$55,030,139 8,828.07% 88
2015 Q3 6,065,028 $526,531,437 -$12,027,244 8,683.66% 93
2015 Q2 6,210,747 $425,449,085 +$6,872,148 6,849.1% 84
2015 Q1 6,622,940 $434,022,817 +$5,883,579 6,554.03% 79
2014 Q4 6,028,722 $380,595,466 -$9,473,451 6,319.78% 71
2014 Q3 5,983,713 $403,531,471 +$16,180,493 6,743.93% 73
2014 Q2 5,743,810 $388,355,964 -$4,245,070 6,761.88% 66
2014 Q1 5,450,181 $318,772,551 +$10,120,871 5,849.09% 67