LEGRAND S - Common Stock (LGRDY) Institutional Ownership

13F Institutional Holders and Ownership History from Q3 2018 to Q4 2025

Type / Class
Equity / Common Stock
Symbol
LGRDY
Price per share
$29.65
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
45,441
Total reported value
$1,504,720
% of total 13F portfolios
0%
Share change
+1,007
Value change
+$33,963
Number of holders
6
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 6 institutional investors reported holding 45,441 shares of LEGRAND S - Common Stock (LGRDY).

Institutional Holders of LEGRAND S - Common Stock (LGRDY) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 10,724 $317,967 +$16,248 $29.65 1
2025 Q3 45,441 $1,504,720 +$33,963 $33.11 6
2025 Q2 46,200 $1,234,530 +$32,538 $26.72 6
2025 Q1 44,982 $950,453 +$54,870 $21.13 5
2024 Q4 42,385 $818,447 -$112,461 $19.31 4
2024 Q3 48,209 $1,109,763 +$85,243 $23.02 4
2024 Q2 44,506 $882,988 +$103,741 $19.84 4
2024 Q1 39,271 $833,207 +$111,553 $21.22 5
2023 Q4 34,014 $702,304 -$12,785 $20.79 5
2023 Q3 30,816 $566,083 +$64,305 $18.37 5
2023 Q2 26,384 $522,572 +$269,059 $19.81 7
2023 Q1 12,311 $224,905 +$3,202 $18.26 4
2022 Q4 12,620 $202,263 -$7,006 $15.97 4
2022 Q3 2,187 $29,000 -$3,767,462 $13.15 2
2022 Q2 256,827 $3,784,000 +$32,832 $14.92 4
2022 Q1 371,741 $7,144,000 -$18,045 $19.02 3
2021 Q4 374,313 $8,759,000 +$8,628,482 $23.30 4
2021 Q3 5,785 $124,000 +$73,469 $21.30 4
2021 Q2 2,370 $50,000 -$20,337,996 $20.99 3
2021 Q1 1,097,012 $20,383,000 -$12,437,399 $18.70 4
2020 Q4 1,796,199 $31,991,000 +$3,069,680 $17.77 5
2020 Q3 1,624,206 $25,951,000 +$1,671,115 $15.83 5
2020 Q2 1,519,603 $23,065,000 +$9,472,735 $15.36 4
2020 Q1 895,799 $11,292,000 +$4,016,676 $12.61 1
2019 Q4 583,213 $9,514,000 +$426,787 $16.13 4
2019 Q3 557,044 $7,960,000 +$2,762,259 $14.29 3
2019 Q2 363,770 $5,350,000 +$4,936,878 $14.59 2
2019 Q1 28,151 $376,000 +$348,888 $13.30 2
2018 Q4 2,600 $29,000 +$23,000 $11.06 2
2018 Q3 207 $9,000 +$9,000 $43.48 1