NEW RELIC INC - COMMON STOCK (NEWR) Institutional Ownership

13F Institutional Holders and Ownership History from Q4 2014 to Q3 2025

Type / Class
Equity / COMMON STOCK
Symbol
NEWR
Price per share
$1502.00
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
1
Total reported value
$1,502
Share change
0
Number of holders
1
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 1 institutional investors reported holding 1 shares of NEW RELIC INC - COMMON STOCK (NEWR).

Institutional Holders of NEW RELIC INC - COMMON STOCK (NEWR) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q3 1 $1,502 $1502.00 1
2025 Q2 1 $1,502 $1502.00 1
2025 Q1 1 $1,502 $1502.00 1
2024 Q4 1 $1,502 $1502.00 1
2024 Q3 1 $1,502 $0 $1502.00 1
2024 Q2 1 $1,502 $0 $1502.00 1
2024 Q1 1 $1,502 -$18,484 $1502.00 1
2023 Q4 0 $0 -$102,614,816 $1502.00 0
2023 Q3 59,273,542 $5,075,008,511 +$174,479,707 $85.62 266
2023 Q2 60,334,940 $3,949,517,169 +$127,972,238 $65.44 272
2023 Q1 58,079,296 $4,372,549,748 -$15,273,965 $75.29 271
2022 Q4 58,685,491 $3,312,811,838 +$40,380,418 $56.45 238
2022 Q3 57,890,827 $3,321,633,792 -$29,162,165 $57.38 248
2022 Q2 57,286,108 $2,866,246,116 -$169,654,954 $50.05 218
2022 Q1 59,366,764 $3,970,663,426 +$50,619,709 $66.88 250
2021 Q4 57,484,588 $6,320,914,488 +$217,524,071 $109.96 269
2021 Q3 56,056,001 $4,023,421,308 +$40,292,800 $71.77 233
2021 Q2 55,474,994 $3,715,333,109 -$98,432,662 $66.97 209
2021 Q1 57,335,268 $3,524,846,089 +$283,414,812 $61.48 203
2020 Q4 52,532,566 $3,435,705,564 -$17,930,089 $65.40 215
2020 Q3 52,887,421 $2,980,669,392 -$104,423,679 $56.36 207
2020 Q2 53,761,953 $3,704,099,941 +$171,587,508 $68.90 236
2020 Q1 52,382,469 $2,422,157,690 +$45,857,785 $46.24 208
2019 Q4 49,236,098 $3,239,711,430 +$97,186,459 $65.71 250
2019 Q3 48,382,551 $2,973,295,197 -$17,567,573 $61.45 231
2019 Q2 45,811,881 $3,965,857,730 +$107,844,185 $86.51 289
2019 Q1 45,866,323 $4,523,206,335 +$12,851,869 $98.70 319
2018 Q4 44,860,504 $3,632,329,021 +$145,376,952 $80.97 281
2018 Q3 43,908,664 $4,135,724,317 +$48,351,412 $94.23 289
2018 Q2 43,225,290 $4,346,672,868 +$346,063,244 $100.59 270
2018 Q1 40,842,262 $3,026,601,164 -$41,348,991 $74.12 229
2017 Q4 41,528,885 $2,398,874,549 -$17,135,059 $57.77 180
2017 Q3 42,332,633 $2,108,091,020 +$105,659,202 $49.80 172
2017 Q2 40,387,645 $1,737,052,821 +$117,596,426 $43.01 162
2017 Q1 37,791,076 $1,400,764,131 +$118,523,067 $37.07 143
2016 Q4 36,219,870 $1,023,204,235 +$90,872,136 $28.25 136
2016 Q3 32,238,766 $1,235,281,617 +$109,518,845 $38.32 117
2016 Q2 29,706,155 $872,799,996 +$50,536,072 $29.38 102
2016 Q1 28,022,583 $730,786,238 +$144,684,919 $26.08 89
2015 Q4 21,724,456 $791,431,168 +$84,885,238 $36.43 105
2015 Q3 19,168,997 $730,498,328 +$99,715,841 $38.11 89
2015 Q2 16,559,441 $582,733,038 +$133,478,799 $35.19 73
2015 Q1 12,548,365 $432,765,719 +$56,072,078 $34.70 59
2014 Q4 10,925,432 $377,976,000 +$365,905,966 $34.84 56