Lions Gate Entertainment Corp - COMMON STOCK, $0.01 PAR VALUE (LGFB)

Historical Holders from Q1 2016 to Q3 2025

Type / Class
Equity / COMMON STOCK, $0.01 PAR VALUE
Symbol
LGFB on NYSE
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
0
Total reported value
$0
Share change
-236
Value change
-$1,703
Avg sell value change
0%
Number of holders
0
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, Lions Gate Entertainment Corp - COMMON STOCK, $0.01 PAR VALUE (LGFB) has 0 institutional shareholders filing 13F forms. They reported no common stock holdings, but disclosed options positions.

Institutional Holders of Lions Gate Entertainment Corp - COMMON STOCK, $0.01 PAR VALUE (LGFB) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q3 0 $0 -$1,703 0
2025 Q2 236 $1,703 -$1,084,979,785 739.68% 2
2025 Q1 136,975,071 $1,085,008,199 +$3,085,885 792% 188
2024 Q4 136,614,545 $1,031,326,609 -$37,293,235 755% 186
2024 Q3 132,729,666 $918,539,087 -$10,770,200 692% 176
2024 Q2 133,564,139 $1,144,635,445 -$9,750,154 857% 184
2024 Q1 134,917,496 $1,256,078,545 +$43,745,289 931% 189
2023 Q4 6,744,895 $68,763,060 +$168,152 1,019.25% 2
2023 Q3 129,478,261 $1,018,741,398 +$1,955,530 787% 168
2023 Q2 126,367,552 $1,055,253,630 +$9,122,661 835% 175
2023 Q1 125,376,302 $1,301,185,953 -$1,853,798 1,038% 170
2022 Q4 128,607,056 $698,337,559 +$2,075,261 543% 169
2022 Q3 127,650,185 $887,146,325 -$15,763,307 695% 142
2022 Q2 128,097,982 $1,131,151,440 +$27,578,047 883% 153
2022 Q1 123,349,437 $1,853,828,343 +$19,924,471 1,503% 151
2021 Q4 116,059,002 $1,785,049,890 +$33,710,180 1,539% 157
2021 Q3 118,966,205 $1,545,640,329 -$45,495,301 1,299.99% 172
2021 Q2 120,583,547 $2,206,193,014 +$90,283,469 1,829.98% 176
2021 Q1 115,914,853 $1,495,367,258 +$63,154,242 1,290% 185
2020 Q4 112,553,471 $1,168,114,507 +$17,524,017 1,037.98% 173
2020 Q3 110,917,743 $967,153,152 -$2,125,180 871.99% 170
2020 Q2 110,064,719 $751,707,595 +$2,543,754 682.99% 173
2020 Q1 112,213,591 $626,141,122 -$7,666,434 558% 164
2019 Q4 112,023,492 $1,112,537,987 +$9,544,721 993% 173
2019 Q3 111,473,332 $974,026,348 -$10,597,498 874% 171
2019 Q2 112,363,507 $1,304,552,348 +$53,847,368 1,160.96% 191
2019 Q1 108,678,759 $1,640,938,970 +$25,161,945 1,509.97% 199
2018 Q4 106,836,591 $1,589,812,385 +$12,865,903 1,487.98% 203
2018 Q3 104,884,567 $2,443,927,807 +$18,636,901 2,329.99% 219
2018 Q2 104,396,159 $2,449,362,418 -$17,464,965 2,345.99% 229
2018 Q1 105,965,103 $2,551,470,071 -$37,001,606 2,408% 237
2017 Q4 105,357,502 $3,342,820,396 +$32,387,035 3,173.97% 237
2017 Q3 102,903,127 $3,271,153,065 +$66,813,944 3,178.98% 220
2017 Q2 103,389,681 $2,717,138,260 +$13,557,504 2,627.99% 222
2017 Q1 101,783,142 $2,481,654,088 +$218,447,012 2,438% 236
2016 Q4 98,194,870 $2,410,274,193 +$2,407,634,381 2,454% 247
2016 Q1 587 $9,000 $0 1,533.22% 1