Option Care Health, Inc. - COMMON STOCK (OPCH)

Historical Holders from Q4 2019 to Q3 2025

Symbol
OPCH on Nasdaq
CUSIP
68404L201
Type / Class
Equity / COMMON STOCK
Shares outstanding
163M
All holders as of September 30, 2025
Q3 2025
Total 13F shares, excl. options
164M
Holdings value
$4.55B
% of all portfolios
0.006%
Grand Portfolio weight change
+0%
Number of holders
365
Number of buys
190
Number of sells
-195
Average Value change %
+0%
Average buys %
+0.002%
Average sells %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of Option Care Health, Inc. - COMMON STOCK (OPCH)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
WELLINGTON MANAGEMENT GROUP LLP 8.1% -19% $446M -$125M 13.3M -21.9% Wellington Management Group LLP Jun 30, 2025
FMR LLC 5.3% $240M 8.66M FMR LLC Sep 30, 2025
Durable Capital Partners LP 5% $275M 8.24M Durable Capital Partners LP Jun 6, 2025

Institutional Holders of Option Care Health, Inc. - COMMON STOCK (OPCH)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 164M $4.55B +$11.4M $27.76 365
2025 Q2 163M $5.29B +$94.6M $32.48 380
2025 Q1 160M $5.59B -$60.8M $34.95 376
2024 Q4 164M $3.8B -$306M $23.20 334
2024 Q3 170M $5.32B -$76.9M $31.30 335
2024 Q2 173M $4.8B +$172M $27.70 342
2024 Q1 166M $5.58B -$54.6M $33.54 337
2023 Q4 879K $29.6M +$6.03M $33.69 4
2023 Q3 170M $5.48B -$73.4M $32.35 355
2023 Q2 169M $5.48B +$141M $32.49 311
2023 Q1 166M $5.27B +$513M $31.77 278
2022 Q4 149M $4.49B -$80.9M $30.09 287
2022 Q3 152M $4.79B +$34.8M $31.47 266
2022 Q2 142M $3.95B +$90.2M $27.79 238
2022 Q1 140M $3.98B +$49.4M $28.56 222
2021 Q4 135M $3.85B -$65.2M $28.44 216
2021 Q3 137M $3.32B +$790M $24.26 206
2021 Q2 98.5M $2.16B +$409M $21.87 154
2021 Q1 80.6M $1.43B +$475M $17.74 149
2020 Q4 54.1M $846M +$127M $15.64 127
2020 Q3 44.7M $598M +$263M $13.37 121
2020 Q2 26.2M $364M +$6.18M $13.88 92
2020 Q1 25.9M $245M +$224M $9.47 86
2019 Q4 2.18M $8.15M +$8.15M $3.73 4