MATTEL INC /DE/ - Common stock, $1.00 per share (MAT)

Historical Holders from Q1 2014 to Q3 2025

Symbol
MAT on Nasdaq
CUSIP
577081102
Type / Class
Equity / Common stock, $1.00 per share
Shares outstanding
323M
All holders as of June 30, 2025
Q2 2025
Total 13F shares, excl. options
319M
Holdings value
$6.29B
% of all portfolios
0.007%
Grand Portfolio weight change
0%
Number of holders
423
Number of buys
183
Number of sells
-228
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 MATTEL INC /DE/ - Common stock, $1.00 per share (MAT)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
EdgePoint Investment Group Inc. 12.64% +15.4% $733M $83.7M 40.8M +12.9% EdgePoint Investment Group Inc. Jun 30, 2025
PRIMECAP MANAGEMENT CO/CA/ 10.29% $597M 33.2M PRIMECAP MANAGEMENT CO/CA/ Jun 30, 2025
Capital International Investors 0.9% $47.9M 3.19M Capital International Investors Dec 31, 2024

Institutional Holders of MATTEL INC /DE/ - Common stock, $1.00 per share (MAT)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 39.9K $671K -$278K $16.83 2
2025 Q2 319M $6.29B -$17.7M $19.72 423
2025 Q1 321M $6.23B -$154M $19.43 436
2024 Q4 329M $5.84B +$111M $17.73 409
2024 Q3 319M $6.08B -$279M $19.05 370
2024 Q2 337M $5.49B +$127M $16.26 381
2024 Q1 329M $6.51B -$118M $19.81 378
2023 Q4 215K $4.06M -$2.21M $18.88 3
2023 Q3 330M $7.26B -$22.6M $22.03 346
2023 Q2 331M $6.47B -$213M $19.54 306
2023 Q1 340M $6.26B -$99.8M $18.41 319
2022 Q4 348M $6.21B +$30.1M $17.84 344
2022 Q3 346M $6.56B -$81.6M $18.94 338
2022 Q2 351M $7.82B +$70.8M $22.33 343
2022 Q1 317M $7.05B -$71M $22.21 346
2021 Q4 321M $6.92B -$15.8M $21.56 321
2021 Q3 320M $5.94B +$98.7M $18.56 310
2021 Q2 344M $6.92B +$172M $20.10 298
2021 Q1 336M $6.69B +$35.7M $19.92 298
2020 Q4 336M $5.86B -$132M $17.45 286
2020 Q3 343M $4.02B -$120M $11.70 254
2020 Q2 349M $3.38B -$165M $9.67 263
2020 Q1 371M $3.27B -$243M $8.81 258
2019 Q4 397M $5.38B -$108M $13.55 264
2019 Q3 407M $4.64B -$96M $11.39 271
2019 Q2 416M $4.66B -$182M $11.21 278
2019 Q1 434M $5.64B +$6.47M $13.00 350
2018 Q4 434M $4.33B +$225M $9.99 322
2018 Q3 408M $6.4B -$32.2M $15.70 361
2018 Q2 407M $6.68B +$72.4M $16.42 356
2018 Q1 408M $5.37B +$176M $13.15 377
2017 Q4 394M $6.05B +$375M $15.38 391
2017 Q3 369M $5.72B +$616M $15.48 405
2017 Q2 324M $6.98B +$282M $21.53 473
2017 Q1 316M $8.09B +$391M $25.61 520
2016 Q4 325M $8.95B +$183M $27.55 539
2016 Q3 329M $9.95B +$28.4M $30.28 531
2016 Q2 325M $10.2B +$21M $31.29 544
2016 Q1 322M $10.8B -$1.13B $33.62 558
2015 Q4 360M $9.77B -$86.6M $27.17 506
2015 Q3 349M $7.34B +$611M $21.06 460
2015 Q2 336M $8.63B +$224M $25.69 481
2015 Q1 325M $7.42B +$105M $22.85 499
2014 Q4 321M $9.93B +$389M $30.94 532
2014 Q3 308M $9.44B +$23.6M $30.65 524
2014 Q2 307M $12B -$427M $38.97 522
2014 Q1 315M $12.6B -$69.6M $40.11 522