MANHATTAN ASSOCIATES INC - Common Stock (MANH)

Historical Holders from Q1 2014 to Q3 2025

Symbol
MANH on Nasdaq
CUSIP
562750109
Type / Class
Equity / Common Stock
Shares outstanding
60.6M
All holders as of September 30, 2025
Q3 2025
Total 13F shares, excl. options
60.4M
Holdings value
$12.4B
% of all portfolios
0.007%
Grand Portfolio weight change
0%
Number of holders
602
Number of buys
293
Number of sells
-270
Average Value change %
0%
Average buys %
+0.001%
Average sells %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of MANHATTAN ASSOCIATES INC - Common Stock (MANH)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 10.2% -15.8% $1.1B -$219M 6.18M -16.7% BlackRock, Inc. Jun 30, 2025
ALLIANCEBERNSTEIN L.P. 3.7% $355M 2.25M AllianceBernstein L.P. Mar 31, 2025

Institutional Holders of MANHATTAN ASSOCIATES INC - Common Stock (MANH)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 60.4M $12.4B -$143M $204.98 602
2025 Q2 61.2M $12.1B +$302M $197.47 584
2025 Q1 59.7M $10.3B -$584M $173.04 598
2024 Q4 61.6M $16.6B +$424M $270.24 654
2024 Q3 59.8M $16.9B +$84.8M $281.38 611
2024 Q2 60.2M $14.8B +$292M $246.68 579
2024 Q1 59.2M $14.8B -$263M $250.23 580
2023 Q4 1.99M $428M -$54.7M $215.32 10
2023 Q3 60.5M $12B +$36.6M $197.66 482
2023 Q2 60M $12B -$172M $199.88 450
2023 Q1 60.5M $9.37B +$23.4M $154.85 396
2022 Q4 60.5M $7.34B +$124M $121.40 380
2022 Q3 61M $8.11B -$130M $133.03 366
2022 Q2 60.8M $6.95B +$19.5M $114.60 348
2022 Q1 61.2M $8.49B +$26M $138.71 354
2021 Q4 58M $9.02B -$53.8M $155.49 383
2021 Q3 58.2M $8.91B +$1.55M $153.03 354
2021 Q2 61.7M $8.93B -$194M $144.84 334
2021 Q1 60M $7.04B -$99.4M $117.38 313
2020 Q4 61M $6.41B -$37.3M $105.18 299
2020 Q3 61.4M $5.87B -$72.1M $95.49 270
2020 Q2 66.4M $6.26B -$147M $94.20 261
2020 Q1 67.6M $3.37B +$68.4M $49.82 246
2019 Q4 66.3M $5.29B -$70.9M $79.75 303
2019 Q3 66.7M $5.38B -$229M $80.67 302
2019 Q2 69.6M $4.82B +$51M $69.33 287
2019 Q1 71.6M $3.95B +$50.5M $55.11 282
2018 Q4 71.2M $3.02B -$80.6M $42.37 269
2018 Q3 73.5M $4.02B +$10.3M $54.60 292
2018 Q2 74.3M $3.49B -$108M $47.01 258
2018 Q1 77.9M $3.26B +$67.7M $41.88 265
2017 Q4 76.3M $3.78B -$23.7M $49.54 252
2017 Q3 75.6M $3.15B +$14.4M $41.57 260
2017 Q2 75.7M $3.64B +$173M $48.06 276
2017 Q1 70.8M $3.69B +$211M $52.05 285
2016 Q4 70.3M $3.73B -$67M $53.03 318
2016 Q3 70.9M $4.08B +$6.72M $57.62 325
2016 Q2 70.3M $4.51B -$156M $64.13 340
2016 Q1 74.5M $4.24B +$168M $56.87 317
2015 Q4 72M $4.76B -$48.4M $66.17 337
2015 Q3 72.6M $4.52B +$12.6M $62.30 299
2015 Q2 70.3M $4.19B -$85.3M $59.65 274
2015 Q1 72.7M $3.68B +$12.9M $50.61 241
2014 Q4 74.8M $3.05B +$55.6M $40.72 241
2014 Q3 74.8M $2.5B +$19.3M $33.42 222
2014 Q2 73.6M $2.54B -$43.7M $34.43 236
2014 Q1 75.1M $2.63B +$1.93B $35.03 218