Palo Alto Networks Inc - COM (PANW)

Historical Holders from Q1 2014 to Q3 2025

Symbol
PANW on Nasdaq
CUSIP
697435105
Type / Class
Equity / COM
All holders as of June 30, 2025
Q2 2025
Total 13F shares, excl. options
521M
Holdings value
$106B
% of all portfolios
0.117%
Grand Portfolio weight change
+0.005%
Number of holders
2334
Number of buys
1279
Number of sells
-856
Average Value change %
+0%
Average buys %
+0.014%
Average sells %
-0.011%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of Palo Alto Networks Inc - COM (PANW)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 448K $91.6M +$6.43M $203.62 17
2025 Q2 521M $106B +$2.86B $204.64 2,334
2025 Q1 508M $86.6B +$318M $170.64 2,216
2024 Q4 506M $92B +$46.2B $181.96 2,233
2024 Q3 245M $83.8B -$569M $341.80 2,036
2024 Q2 247M $83.6B +$2.42B $339.01 1,971
2024 Q1 240M $68.1B -$5.27B $284.13 1,869
2023 Q4 3.31M $977M -$184M $294.88 31
2023 Q3 258M $60.4B -$913M $234.44 1,596
2023 Q2 259M $66.2B +$2.48B $255.51 1,545
2023 Q1 252M $50.4B +$1.39B $199.74 1,425
2022 Q4 245M $34.2B -$256M $139.54 1,337
2022 Q3 247M $40.5B +$25.8B $163.79 1,309
2022 Q2 84.8M $41.9B +$466M $493.94 1,289
2022 Q1 85.4M $53.1B +$1.74B $622.51 1,277
2021 Q4 81.9M $45.6B -$1.26B $556.76 1,198
2021 Q3 83.6M $40B +$1.85B $479.00 1,064
2021 Q2 75.2M $27.9B +$315M $371.05 958
2021 Q1 80.9M $26.1B -$344M $322.06 948
2020 Q4 76M $27B +$1.1B $355.39 913
2020 Q3 78.6M $19.2B -$124M $244.75 798
2020 Q2 79.4M $18.2B +$497M $229.67 771
2020 Q1 77.4M $12.7B -$396M $163.96 660
2019 Q4 77.7M $18B +$21.3M $231.25 782
2019 Q3 77.7M $15.8B +$278M $203.83 725
2019 Q2 77.1M $15.7B +$312M $203.76 751
2019 Q1 77M $18.7B +$247M $242.88 809
2018 Q4 76.3M $14.4B -$457M $188.35 723
2018 Q3 77.5M $17.4B +$274M $225.26 729
2018 Q2 76.2M $15.6B +$494M $205.47 677
2018 Q1 76.8M $13.9B +$316M $181.52 648
2017 Q4 74.2M $10.8B +$167M $144.94 606
2017 Q3 73.2M $10.5B +$501M $144.10 556
2017 Q2 71M $9.5B -$227M $133.81 550
2017 Q1 71.9M $8.1B -$23.7M $112.68 544
2016 Q4 77M $9.63B -$461M $125.05 540
2016 Q3 79.7M $12.7B +$1.01B $159.33 512
2016 Q2 73.7M $9.04B +$290M $122.64 504
2016 Q1 70.6M $11.5B +$703M $163.14 532
2015 Q4 68M $11.9B +$440M $176.14 564
2015 Q3 65M $11.2B -$339M $172.00 515
2015 Q2 67.2M $11.7B +$4.39M $174.70 479
2015 Q1 67M $9.79B +$426M $146.08 440
2014 Q4 65.2M $7.99B +$406M $122.57 384
2014 Q3 61.8M $6.06B +$116M $98.10 313
2014 Q2 61M $5.12B +$412M $83.85 260
2014 Q1 56.9M $3.91B +$87.7M $68.60 221