MCDONALDS CORP - Common Stock (MCD)

Historical Holders from Q1 2014 to Q4 2025

Type / Class
Equity / Common Stock
Symbol
MCD on NYSE
Shares outstanding
714,210,658
Price per share
$305.63
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
510,854,347
Holdings value
$155,166,767,499
% of all portfolios
0.15%
Share change
-11,954,605
Value change
-$3,498,868,594
Average buys %
+0.01%
Average sells %
-0.01%
Number of holders
3,374
Price from insider filings
$320.00
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of MCDONALDS CORP - Common Stock (MCD) based on Schedule 13D/G filings

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
VANGUARD GROUP INC 10% $22,498,507,779 71,635,329 The Vanguard Group 29 Aug 2025
JPMORGAN CHASE & CO 4.6% -8% $10,320,882,531 -$770,882,585 33,434,457 -7% JPMORGAN CHASE & CO. 30 Jun 2025
As of 30 Sep 2025, MCDONALDS CORP - Common Stock (MCD) has 3,374 institutional shareholders filing 13F forms. They hold 510,854,347 shares of 714,210,658 outstanding shares (72%) .

Top 25 institutional shareholders own 48% of the company.

Filer Ownership Nb Shares Share Change % Portfolio % Holdings Value
VANGUARD GROUP INC 10% 71,647,669 +0.44% 0.33% $21,773,010,132
BlackRock, Inc. 7.3% 52,064,527 +0.4% 0.28% $15,821,889,161
STATE STREET CORP 4.9% 35,024,857 +0.56% 0.37% $10,643,703,794
JPMORGAN CHASE & CO 4.8% 34,214,281 +0.29% 0.66% $10,397,420,828
GEODE CAPITAL MANAGEMENT, LLC 2.4% 16,962,429 +0.8% 0.33% $5,141,031,388
MORGAN STANLEY 2.2% 15,572,960 -3.2% 0.29% $4,732,467,665
BANK OF AMERICA CORP /DE/ 1.8% 12,761,455 +0.62% 0.29% $3,878,078,816
PRICE T ROWE ASSOCIATES INC /MD/ 1.3% 9,197,132 +18% 0.3% $2,794,917,000
NORTHERN TRUST CORP 1.2% 8,411,657 -3.8% 0.33% $2,556,218,446
WELLS FARGO & COMPANY/MN 1.1% 7,972,339 -2.4% 0.49% $2,422,714,153
WELLINGTON MANAGEMENT GROUP LLP 1% 7,428,824 -17% 0.4% $2,257,545,326
ROYAL BANK OF CANADA 0.98% 6,982,794 -3.7% 0.38% $2,122,003,000
Capital Research Global Investors 0.87% 6,247,866 -9% 0.36% $1,898,661,835
CHARLES SCHWAB INVESTMENT MANAGEMENT INC 0.76% 5,420,573 +0.3% 0.26% $1,647,260,813
UBS Group AG 0.74% 5,308,014 +5.8% 0.32% $1,613,052,374
Bank of New York Mellon Corp 0.73% 5,243,149 -2.5% 0.29% $1,593,340,639
UBS AM, A DISTINCT BUSINESS UNIT OF UBS ASSET MANAGEMENT AMERICAS LLC 0.72% 5,175,275 -25% 0.34% $1,572,714,320
Legal & General Group Plc 0.67% 4,757,967 +6.4% 0.32% $1,445,898,589
Gallagher Fiduciary Advisors, LLC 0.64% 4,576,008 -2.7% 51% $1,390,602,993
AMERIPRISE FINANCIAL INC 0.62% 4,422,014 +0.48% 0.31% $1,343,501,032
FRANKLIN RESOURCES INC 0.62% 4,396,837 +37% 0.33% $1,336,154,798
Amundi 0.6% 4,318,771 +7.1% 0.41% $1,278,528,967
Invesco Ltd. 0.59% 4,194,445 +1.6% 0.2% $1,274,649,727
GOLDMAN SACHS GROUP INC 0.58% 4,118,943 -3.4% 0.18% $1,251,705,462
FMR LLC 0.54% 3,878,166 +12% 0.06% $1,178,535,677

Institutional Holders of MCDONALDS CORP - Common Stock (MCD) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q4 2,409,613 $735,130,780 -$25,959,067 $305.63 138
2025 Q3 510,854,347 $155,166,767,499 -$3,498,868,594 $303.89 3,374
2025 Q2 522,372,251 $152,607,441,451 +$661,832,290 $292.17 3,384
2025 Q1 520,680,810 $162,591,629,620 +$1,024,727,180 $312.37 3,371
2024 Q4 518,261,734 $150,234,835,299 +$3,930,290,471 $289.89 3,323
2024 Q3 501,639,370 $152,697,946,287 -$757,144,815 $304.51 3,130
2024 Q2 505,991,577 $128,940,079,801 +$1,888,929,074 $254.84 3,022
2024 Q1 499,821,002 $140,827,441,397 -$2,949,376,324 $281.95 3,128
2023 Q4 5,276,004 $1,563,837,688 -$178,691,984 $296.51 61
2023 Q3 486,863,702 $128,221,086,927 -$1,550,169,576 $263.44 2,929
2023 Q2 492,715,968 $146,872,121,790 -$2,552,701,174 $298.41 2,936
2023 Q1 499,705,812 $139,673,961,572 -$490,847,101 $279.61 2,879
2022 Q4 489,036,576 $128,882,832,589 +$940,890,684 $263.53 2,854
2022 Q3 499,156,615 $115,249,524,950 -$98,560,753 $230.74 2,642
2022 Q2 499,526,983 $123,232,043,519 +$532,880,942 $246.88 2,675
2022 Q1 501,026,981 $123,827,688,760 -$1,385,661,885 $247.28 2,686
2021 Q4 506,483,073 $135,619,283,617 -$10,302,400 $268.07 2,744
2021 Q3 505,805,615 $121,908,714,409 +$772,843,119 $241.11 2,479
2021 Q2 503,091,873 $116,137,677,203 -$187,457,882 $230.99 2,490
2021 Q1 503,295,578 $112,697,814,199 +$860,544,772 $224.14 2,462
2020 Q4 498,806,590 $106,898,102,616 -$521,646,735 $214.58 2,422
2020 Q3 501,264,483 $109,921,868,918 +$264,700,751 $219.49 2,248
2020 Q2 487,611,398 $89,943,783,367 -$910,132,002 $184.47 2,187
2020 Q1 492,550,577 $81,471,130,423 +$565,481,478 $165.35 2,129
2019 Q4 500,656,703 $98,904,689,937 -$2,607,880,415 $197.61 2,222
2019 Q3 514,129,923 $110,302,007,414 -$1,753,322,878 $214.71 2,070
2019 Q2 518,797,624 $107,654,802,076 +$1,830,412,892 $207.66 2,046
2019 Q1 525,532,539 $99,734,699,299 -$268,549,326 $189.90 2,018
2018 Q4 527,068,272 $93,511,415,612 -$150,519,017 $177.57 1,985
2018 Q3 523,885,931 $87,562,532,296 +$1,159,931,265 $167.29 1,824
2018 Q2 519,124,313 $81,234,509,225 -$1,545,422,404 $156.69 1,851
2018 Q1 528,554,902 $82,529,350,035 -$1,584,598,300 $156.38 1,827
2017 Q4 547,819,170 $94,168,094,330 -$74,421,196 $172.12 1,873
2017 Q3 545,407,689 $85,457,781,986 -$2,118,779,764 $156.68 1,702
2017 Q2 547,443,205 $83,807,042,811 +$817,947,333 $153.16 1,678
2017 Q1 538,442,336 $69,788,072,991 +$6,092,993,887 $129.61 1,635
2016 Q4 558,422,591 $67,948,337,024 -$1,013,288,410 $121.72 1,604
2016 Q3 569,438,355 $65,638,335,682 -$3,212,805,102 $115.36 1,512
2016 Q2 590,904,004 $71,107,965,138 -$3,256,845,517 $120.34 1,564
2016 Q1 604,528,877 $75,953,680,728 -$2,060,150,019 $125.68 1,576
2015 Q4 632,272,650 $74,689,723,304 +$164,616,424 $118.14 1,576
2015 Q3 619,798,936 $61,065,085,512 -$267,243,297 $98.53 1,479
2015 Q2 629,503,431 $59,851,680,742 -$528,049,545 $95.07 1,480
2015 Q1 649,702,907 $63,282,574,386 +$1,740,720,707 $97.44 1,522
2014 Q4 631,360,556 $59,149,647,955 -$129,480,957 $93.70 1,531
2014 Q3 630,655,941 $59,792,820,245 -$13,985,447 $94.81 1,455
2014 Q2 629,993,013 $63,460,424,113 +$1,636,987,594 $100.74 1,472
2014 Q1 615,790,630 $60,368,523,402 -$385,333,883 $98.03 1,465