JOHNSON & JOHNSON - COM (JNJ) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2025

Type / Class
Equity / COM
Symbol
JNJ on NYSE
Price per share
$206.95
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
1,728,366,139
Total reported value
$320,772,288,663
% of total 13F portfolios
0.31%
Share change
-22,598,543
Value change
-$3,003,647,544
Number of holders
4,139
Price from insider filings
$206.95
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 4,139 institutional investors reported holding 1,728,366,139 shares of JOHNSON & JOHNSON - COM (JNJ).

Institutional Holders of JOHNSON & JOHNSON - COM (JNJ) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 38,848,274 $8,037,753,758 -$339,547,713 $206.95 717
2025 Q3 1,728,366,139 $320,772,288,663 -$3,003,647,544 $185.42 4,139
2025 Q2 1,752,315,323 $267,703,942,503 +$6,076,552,873 $152.75 4,046
2025 Q1 1,710,088,406 $283,380,567,606 -$2,468,005,987 $165.84 4,085
2024 Q4 1,729,507,942 $250,096,493,685 +$5,103,878,646 $144.62 4,032
2024 Q3 1,684,770,259 $272,957,500,498 -$3,026,731,004 $162.06 3,837
2024 Q2 1,706,314,607 $249,430,477,885 +$7,970,987,409 $146.16 3,737
2024 Q1 1,656,786,708 $261,848,118,911 -$3,714,266,059 $158.19 3,805
2023 Q4 13,743,015 $2,153,070,091 -$208,778,938 $156.74 76
2023 Q3 1,635,974,779 $254,847,056,145 -$21,767,780,828 $155.75 3,597
2023 Q2 1,775,493,883 $293,609,024,523 -$2,214,380,746 $165.52 3,676
2023 Q1 1,721,981,897 $266,993,334,820 -$2,731,305,608 $155.00 3,644
2022 Q4 1,801,508,330 $318,193,939,151 +$1,476,635,741 $176.65 3,708
2022 Q3 1,796,936,050 $293,685,749,050 -$1,242,865,616 $163.36 3,551
2022 Q2 1,812,325,423 $321,606,908,059 +$3,068,501,550 $177.51 3,607
2022 Q1 1,808,711,512 $320,598,613,618 -$417,375,461 $177.23 3,608
2021 Q4 1,809,426,474 $309,489,350,130 +$379,706,018 $171.07 3,587
2021 Q3 1,801,724,356 $290,986,514,912 +$1,949,132,582 $161.50 3,264
2021 Q2 1,790,605,302 $294,891,526,447 +$1,502,969,382 $164.74 3,279
2021 Q1 1,764,962,273 $289,950,726,874 -$2,512,072,021 $164.35 3,270
2020 Q4 1,783,375,409 $280,571,804,176 -$394,562,588 $157.38 3,217
2020 Q3 1,748,107,046 $260,038,162,929 -$1,672,727,387 $148.88 2,942
2020 Q2 1,776,009,119 $249,775,141,662 -$1,038,719,027 $140.63 2,950
2020 Q1 1,808,011,104 $237,200,672,300 -$640,631,374 $131.13 2,895
2019 Q4 1,819,514,422 $265,337,575,319 +$3,355,995,900 $145.87 2,947
2019 Q3 1,782,773,107 $230,609,226,137 -$16,751,106,411 $129.38 2,696
2019 Q2 1,802,002,093 $250,921,706,744 +$6,332,674,616 $139.28 2,726
2019 Q1 1,804,260,354 $252,134,123,492 -$503,876,647 $139.79 2,735
2018 Q4 1,806,796,300 $233,049,878,050 -$6,808,071 $129.05 2,745
2018 Q3 1,786,291,338 $246,732,010,780 +$901,586,805 $138.17 2,563
2018 Q2 1,802,118,778 $218,588,285,861 +$2,969,780,068 $121.34 2,573
2018 Q1 1,797,328,935 $230,243,465,556 -$1,345,240,376 $128.15 2,571
2017 Q4 1,805,170,016 $252,016,482,804 +$1,907,871,785 $139.72 2,600
2017 Q3 1,793,275,791 $233,134,494,849 -$456,134,025 $130.01 2,337
2017 Q2 1,799,533,778 $238,040,204,062 -$257,027,756 $132.29 2,336
2017 Q1 1,798,715,794 $224,011,258,984 +$20,376,409,661 $124.55 2,335
2016 Q4 1,798,739,938 $207,196,773,801 -$1,023,083,902 $115.21 2,305
2016 Q3 1,799,361,570 $212,412,275,885 -$2,039,825,544 $118.13 2,205
2016 Q2 1,814,832,620 $220,127,889,375 -$376,370,487 $121.30 2,211
2016 Q1 1,815,269,786 $196,411,284,809 -$1,327,501,821 $108.20 2,187
2015 Q4 1,828,766,934 $187,838,385,218 -$984,228,453 $102.72 2,178
2015 Q3 1,834,688,182 $171,273,699,915 +$1,175,175,775 $93.35 2,075
2015 Q2 1,791,473,766 $174,624,125,269 -$631,518,730 $97.46 2,087
2015 Q1 1,833,853,405 $184,500,368,784 -$715,986,128 $100.60 2,082
2014 Q4 1,843,207,575 $192,755,429,358 +$2,945,401,234 $104.57 2,098
2014 Q3 1,801,859,000 $192,060,751,373 -$6,287,641,437 $106.59 1,964
2014 Q2 1,861,533,751 $194,737,517,901 +$4,708,246,521 $104.62 1,960
2014 Q1 1,820,349,023 $178,804,312,128 +$2,135,878,378 $98.23 1,950