Mueller Water Products, Inc. - Class A Stock (MWA)

Historical Holders from Q1 2014 to Q1 2025

Symbol
MWA on NYSE
CUSIP
624758108
Type / Class
Equity / Class A Stock
Shares outstanding
157M
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
144M
Holdings value
$3.23B
% of all portfolios
0.004%
Grand Portfolio weight change
+0%
Number of holders
333
Number of buys
158
Number of sells
-155
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 Mueller Water Products, Inc. - Class A Stock (MWA)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 16.1% +60% $643M $240M 25.3M +59.6% BlackRock, Inc. Mar 31, 2025
FRANKLIN MUTUAL ADVISERS LLC 4.5% -16.7% $181M -$37.4M 7.12M -17.1% Franklin Mutual Advisers, LLC Dec 31, 2024
Impax Asset Management Group plc 3.7% $146M 5.74M Impax Asset Management Group plc Sep 30, 2024

Institutional Holders of Mueller Water Products, Inc. - Class A Stock (MWA)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 1.65M $42M +$12.2M $25.42 41
2024 Q4 144M $3.23B +$45M $22.50 333
2024 Q3 141M $3.07B -$8.35M $21.70 322
2024 Q2 141M $2.53B -$787K $17.92 299
2024 Q1 141M $2.26B -$32.2M $16.09 262
2023 Q4 143M $2.06B -$1.97M $14.40 232
2023 Q3 141M $1.78B -$62.6K $12.68 218
2023 Q2 141M $2.29B -$8.73M $16.23 211
2023 Q1 139M $1.94B +$35.9M $13.94 217
2022 Q4 138M $1.49B +$7.55M $10.76 218
2022 Q3 139M $1.43B -$71.6M $10.27 227
2022 Q2 138M $1.62B -$13.5M $11.73 214
2022 Q1 141M $1.82B +$20.4M $12.92 231
2021 Q4 136M $1.95B -$44.1M $14.40 242
2021 Q3 142M $2.15B +$8.73M $15.22 243
2021 Q2 143M $2.06B +$5.29M $14.42 228
2021 Q1 142M $1.98B -$3.04M $13.89 222
2020 Q4 141M $1.75B +$27.9M $12.38 212
2020 Q3 140M $1.45B -$20.5M $10.39 210
2020 Q2 142M $1.34B +$10.1M $9.43 201
2020 Q1 137M $1.09B -$3.18M $8.01 189
2019 Q4 139M $1.67B +$4.35M $11.98 185
2019 Q3 141M $1.58B -$2.43M $11.24 199
2019 Q2 138M $1.35B +$40.3M $9.82 194
2019 Q1 143M $1.43B +$3.72M $10.04 203
2018 Q4 142M $1.29B -$3.1M $9.10 215
2018 Q3 141M $1.63B -$18.8M $11.51 206
2018 Q2 142M $1.67B +$106M $11.72 200
2018 Q1 138M $1.5B +$28.4M $10.87 203
2017 Q4 139M $1.74B +$12.9M $12.53 211
2017 Q3 136M $1.74B -$6.15M $12.80 208
2017 Q2 137M $1.59B -$21.7M $11.68 198
2017 Q1 140M $1.65B +$103M $11.82 239
2016 Q4 140M $1.87B -$17.6M $13.31 236
2016 Q3 142M $1.78B -$1.57M $12.55 225
2016 Q2 144M $1.64B -$6.66M $11.42 213
2016 Q1 143M $1.41B +$29.4M $9.88 184
2015 Q4 143M $1.23B -$1.36M $8.60 183
2015 Q3 143M $1.09B +$29.8M $7.66 194
2015 Q2 137M $1.24B -$29.7M $9.10 191
2015 Q1 142M $1.39B +$34.2M $9.85 181
2014 Q4 138M $1.42B +$29.4M $10.24 188
2014 Q3 137M $1.13B +$17.1M $8.28 195
2014 Q2 135M $1.16B -$44M $8.64 189
2014 Q1 134M $1.27B +$19.2M $9.50 199