ITRON, INC. - Common Stock (ITRI)

Historical Holders from Q1 2014 to Q3 2025

Symbol
ITRI on Nasdaq
CUSIP
465741106
Type / Class
Equity / Common Stock
Shares outstanding
45.5M
All holders as of June 30, 2025
Q2 2025
Total 13F shares, excl. options
50.2M
Holdings value
$6.58B
% of all portfolios
0.007%
Grand Portfolio weight change
+0%
Number of holders
450
Number of buys
239
Number of sells
-197
Average Value change %
+0%
Average buys %
+0.003%
Average sells %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of ITRON, INC. - Common Stock (ITRI)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 15.2% $637M 6.92M BlackRock, Inc. Mar 31, 2025

Institutional Holders of ITRON, INC. - Common Stock (ITRI)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 571K $70.9M +$15.8M $124.56 16
2025 Q2 50.2M $6.58B +$279M $131.63 450
2025 Q1 48.2M $5.05B +$29.8M $104.76 416
2024 Q4 47.9M $5.2B +$39.8M $108.58 422
2024 Q3 47M $5.01B +$113M $106.81 416
2024 Q2 46.1M $4.56B +$214M $98.96 401
2024 Q1 44.1M $4.08B +$29.3M $92.52 379
2023 Q4 1.34M $102M -$1.7M $75.51 8
2023 Q3 42.8M $2.59B -$14.5M $60.58 272
2023 Q2 42.8M $3.09B -$52.2M $72.10 265
2023 Q1 43.5M $2.41B -$9.82M $55.45 238
2022 Q4 44.1M $2.24B +$10.4M $50.65 235
2022 Q3 43.9M $1.85B -$158K $42.11 223
2022 Q2 43.3M $2.13B -$3.77M $49.43 232
2022 Q1 43.4M $2.29B -$37.3M $52.68 239
2021 Q4 44M $3.02B -$7.52M $68.52 249
2021 Q3 43.9M $3.32B -$26.1M $75.63 251
2021 Q2 44.3M $4.43B +$74.8M $99.98 238
2021 Q1 43.6M $3.86B +$369M $88.65 271
2020 Q4 38.9M $3.73B +$56M $95.90 226
2020 Q3 38.6M $2.35B -$20.3M $60.74 217
2020 Q2 39M $2.59B +$73.2M $66.25 238
2020 Q1 37.5M $2.09B -$46.6M $55.83 244
2019 Q4 38.6M $3.24B +$51.8M $83.95 241
2019 Q3 37.9M $2.8B +$19.4M $73.96 232
2019 Q2 37.1M $2.32B -$17.4M $62.57 222
2019 Q1 39.1M $1.82B +$18.3M $46.65 219
2018 Q4 38.3M $1.81B +$1.83M $47.29 210
2018 Q3 38.1M $2.45B +$63.5M $64.20 223
2018 Q2 37M $2.22B -$35.1M $60.05 212
2018 Q1 37.8M $2.7B +$34.4M $71.55 237
2017 Q4 37.2M $2.54B +$16.9M $68.20 232
2017 Q3 36.6M $2.84B +$15.7M $77.45 235
2017 Q2 36.4M $2.47B -$17.9M $67.75 231
2017 Q1 36.7M $2.23B +$280M $60.70 218
2016 Q4 35.9M $2.25B -$21.6M $62.85 233
2016 Q3 36.3M $2.02B -$15.3M $55.76 217
2016 Q2 36.7M $1.58B -$13.2M $43.10 187
2016 Q1 37.3M $1.55B +$18.2M $41.72 184
2015 Q4 37.9M $1.37B -$56M $36.18 168
2015 Q3 39.6M $1.26B +$68M $31.91 170
2015 Q2 37.1M $1.28B +$15M $34.44 188
2015 Q1 37.1M $1.36B -$14M $36.51 204
2014 Q4 37.3M $1.58B -$56.2M $42.29 198
2014 Q3 37.6M $1.48B +$4.98M $39.31 207
2014 Q2 38M $1.54B +$16M $40.55 213
2014 Q1 37M $1.32B -$14.4M $35.54 200