PRECIGEN, INC. - Common Stock (XON)

Historical Holders from Q1 2014 to Q2 2020

Symbol
XON
Type / Class
Equity / Common Stock
Shares outstanding
371,441,992
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of PRECIGEN, INC. - Common Stock (XON) based on Schedule 13D/G filings

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
KIRK RANDAL J 38% -3.3% 141,519,399 -3.3% RANDAL J. KIRK 19 Nov 2025

Institutional Holders of PRECIGEN, INC. - Common Stock (XON) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2020 Q2 0 $0 -$206,000 0
2020 Q1 0 $0 -$681,870,707 0
2019 Q4 124,801,118 $683,884,999 +$8,301,488 $5.48 140
2019 Q3 123,602,341 $707,001,386 +$6,069,575 $5.72 149
2019 Q2 122,287,013 $936,705,047 +$56,059,094 $7.66 143
2019 Q1 122,185,733 $642,685,096 +$23,689,972 $5.26 135
2018 Q4 110,898,950 $725,266,729 -$89,007,917 $6.54 145
2018 Q3 120,687,278 $2,078,208,968 +$190,271,843 $17.22 164
2018 Q2 109,153,902 $1,521,692,671 +$13,141,808 $13.94 155
2018 Q1 107,854,381 $1,653,424,259 +$163,205,220 $15.33 151
2017 Q4 97,668,317 $1,125,123,132 +$36,723,189 $11.52 151
2017 Q3 93,651,497 $1,780,302,805 -$119,837,577 $19.01 149
2017 Q2 99,744,445 $2,402,815,429 -$1,400,770 $24.09 164
2017 Q1 100,168,793 $1,985,512,449 +$55,177,335 $19.82 152
2016 Q4 99,500,201 $2,417,856,460 -$15,662,985 $24.30 168
2016 Q3 100,241,008 $2,808,271,296 +$20,880,821 $28.02 164
2016 Q2 99,415,198 $2,446,726,558 -$69,712,217 $24.61 164
2016 Q1 100,731,087 $3,413,679,380 -$41,661,567 $33.89 185
2015 Q4 102,425,811 $3,088,544,269 +$15,826,616 $30.15 175
2015 Q3 101,452,732 $3,226,946,633 +$201,880,482 $31.80 174
2015 Q2 94,020,394 $4,588,172,095 +$19,788,645 $48.80 171
2015 Q1 94,522,875 $4,281,863,845 +$196,903,868 $45.37 151
2014 Q4 90,523,842 $2,492,187,359 +$58,804,213 $27.53 110
2014 Q3 88,478,935 $1,643,928,482 +$24,877,087 $18.58 99
2014 Q2 86,922,282 $2,184,344,281 +$78,911,210 $25.13 107
2014 Q1 83,665,798 $2,199,377,996 +$123,608,316 $26.29 98