MCDONALDS CORP - Common Stock (MCD)

Historical Holders from Q1 2014 to Q3 2025

Symbol
MCD on NYSE
CUSIP
580135101
Type / Class
Equity / Common Stock
Shares outstanding
714M
All holders as of September 30, 2025
Q3 2025
Total 13F shares, excl. options
509M
Holdings value
$155B
% of all portfolios
0.145%
Grand Portfolio weight change
-0.006%
Number of holders
3294
Number of buys
1529
Number of sells
-1387
Average Value change %
0%
Average buys %
+0.012%
Average sells %
-0.012%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of MCDONALDS CORP - Common Stock (MCD)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
VANGUARD GROUP INC 10.03% $22.5B 71.6M The Vanguard Group Aug 29, 2025
JPMORGAN CHASE & CO 4.6% -8% $10.3B -$771M 33.4M -6.95% JPMORGAN CHASE & CO. Jun 30, 2025

Institutional Holders of MCDONALDS CORP - Common Stock (MCD)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 509M $155B -$3.49B $303.89 3,294
2025 Q2 522M $152B +$628M $292.17 3,375
2025 Q1 521M $163B +$1.02B $312.37 3,371
2024 Q4 518M $150B +$3.93B $289.89 3,323
2024 Q3 502M $153B -$757M $304.51 3,130
2024 Q2 506M $129B +$1.89B $254.84 3,022
2024 Q1 500M $141B -$2.95B $281.95 3,128
2023 Q4 5.28M $1.56B -$179M $296.51 61
2023 Q3 487M $128B -$1.55B $263.44 2,929
2023 Q2 493M $147B -$2.55B $298.41 2,936
2023 Q1 500M $140B -$491M $279.61 2,879
2022 Q4 489M $129B +$941M $263.53 2,854
2022 Q3 499M $115B -$98.6M $230.74 2,642
2022 Q2 500M $123B +$533M $246.88 2,675
2022 Q1 501M $124B -$1.39B $247.28 2,686
2021 Q4 506M $136B -$10.3M $268.07 2,744
2021 Q3 506M $122B +$773M $241.11 2,479
2021 Q2 503M $116B -$187M $230.99 2,490
2021 Q1 503M $113B +$861M $224.14 2,462
2020 Q4 499M $107B -$522M $214.58 2,422
2020 Q3 501M $110B +$265M $219.49 2,248
2020 Q2 488M $89.9B -$910M $184.47 2,187
2020 Q1 493M $81.5B +$565M $165.35 2,129
2019 Q4 501M $98.9B -$2.61B $197.61 2,222
2019 Q3 514M $110B -$1.75B $214.71 2,070
2019 Q2 519M $108B +$1.83B $207.66 2,046
2019 Q1 526M $99.7B -$269M $189.90 2,018
2018 Q4 527M $93.5B -$151M $177.57 1,985
2018 Q3 524M $87.6B +$1.16B $167.29 1,824
2018 Q2 519M $81.2B -$1.55B $156.69 1,851
2018 Q1 529M $82.5B -$1.58B $156.38 1,827
2017 Q4 548M $94.2B -$74.4M $172.12 1,873
2017 Q3 545M $85.5B -$2.12B $156.68 1,702
2017 Q2 547M $83.8B +$818M $153.16 1,678
2017 Q1 538M $69.8B +$6.09B $129.61 1,635
2016 Q4 558M $67.9B -$1.01B $121.72 1,604
2016 Q3 569M $65.6B -$3.21B $115.36 1,512
2016 Q2 591M $71.1B -$3.26B $120.34 1,564
2016 Q1 605M $76B -$2.06B $125.68 1,576
2015 Q4 632M $74.7B +$165M $118.14 1,576
2015 Q3 620M $61.1B -$267M $98.53 1,479
2015 Q2 630M $59.9B -$528M $95.07 1,480
2015 Q1 650M $63.3B +$1.74B $97.44 1,522
2014 Q4 631M $59.1B -$129M $93.70 1,531
2014 Q3 631M $59.8B -$14M $94.81 1,455
2014 Q2 630M $63.5B +$1.64B $100.74 1,472
2014 Q1 616M $60.4B -$385M $98.03 1,465