New Gold Inc. /FI - Common Shares (NGD)

Historical Holders from Q1 2014 to Q3 2025

Symbol
NGD on NYSE
CUSIP
644535106
Type / Class
Equity / Common Shares
Shares outstanding
791M
All holders as of June 30, 2025
Q2 2025
Total 13F shares, excl. options
434M
Holdings value
$2.15B
% of all portfolios
0.01%
Grand Portfolio weight change
+0%
Number of holders
275
Number of buys
138
Number of sells
-107
Average Value change %
+0%
Average buys %
+0.003%
Average sells %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of New Gold Inc. /FI - Common Shares (NGD)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
VAN ECK ASSOCIATES CORP 6.6% -13.4% $284M -$45.8M 52.2M -13.9% VAN ECK ASSOCIATES CORP Jun 30, 2025

Institutional Holders of New Gold Inc. /FI - Common Shares (NGD)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 1.77M $12.7M -$802K $7.18 5
2025 Q2 434M $2.15B +$102M $4.95 275
2025 Q1 419M $1.55B +$133M $3.71 242
2024 Q4 394M $980M -$246K $2.48 216
2024 Q3 390M $1.13B +$48.3M $2.88 213
2024 Q2 375M $735M +$217M $1.95 188
2024 Q1 265M $451M +$44.9M $1.70 163
2023 Q4 242M $353M +$51.4M $1.46 156
2023 Q3 210M $192M -$7.37M $0.91 147
2023 Q2 217M $235M +$4M $1.08 159
2023 Q1 214M $235M -$15.2M $1.10 154
2022 Q4 227M $224M +$3.76M $0.98 143
2022 Q3 225M $190M -$4.06M $0.88 132
2022 Q2 218M $222M -$4.45M $1.07 138
2022 Q1 231M $398M +$23M $1.80 156
2021 Q4 220M $314M +$13.5M $1.50 159
2021 Q3 215M $218M -$12.4M $1.06 156
2021 Q2 226M $394M -$29.4M $1.81 151
2021 Q1 235M $367M -$37M $1.54 154
2020 Q4 251M $550M +$42.4M $2.19 151
2020 Q3 243M $396M -$24.2M $1.70 119
2020 Q2 257M $332M -$29.4M $1.35 115
2020 Q1 275M $136M -$17.5M $0.51 95
2019 Q4 354M $305M -$6.13M $0.88 120
2019 Q3 313M $308M +$67.8M $1.01 128
2019 Q2 247M $231M -$12.5M $0.96 119
2019 Q1 261M $219M -$20.1M $0.86 120
2018 Q4 282M $214M -$11.7M $0.76 115
2018 Q3 301M $235M -$1.84M $0.79 127
2018 Q2 278M $577M +$58.3M $2.08 140
2018 Q1 264M $683M -$35M $2.58 155
2017 Q4 276M $908M -$47.8M $3.29 155
2017 Q3 296M $1.1B -$114M $3.71 157
2017 Q2 326M $1.03B +$60.5M $3.18 145
2017 Q1 303M $899M +$172M $2.98 163
2016 Q4 258M $903M -$12.6M $3.50 171
2016 Q3 261M $1.13B +$6.02M $4.35 169
2016 Q2 261M $1.14B -$26.1M $4.38 165
2016 Q1 259M $969M -$62.2M $3.73 147
2015 Q4 277M $643M -$26.2M $2.32 150
2015 Q3 287M $650M -$6.1M $2.27 142
2015 Q2 291M $781M -$7.75M $2.69 146
2015 Q1 293M $989M +$20.3M $3.39 153
2014 Q4 280M $1.21B -$45M $4.30 157
2014 Q3 288M $1.46B -$18.6M $5.05 168
2014 Q2 262M $1.67B -$128M $6.37 153
2014 Q1 282M $1.39B -$37M $4.88 165