PARSONS CORP - Common Stock, $1.00 Par Value Per Share (PSN)

Historical Holders from Q2 2019 to Q3 2025

Symbol
PSN on NYSE
CUSIP
70202L102
Type / Class
Equity / Common Stock, $1.00 Par Value Per Share
Shares outstanding
107M
All holders as of September 30, 2025
Q3 2025
Total 13F shares, excl. options
111M
Holdings value
$9.17B
% of all portfolios
0.006%
Grand Portfolio weight change
0%
Number of holders
369
Number of buys
212
Number of sells
-152
Average Value change %
0%
Average buys %
+0.001%
Average sells %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of PARSONS CORP - Common Stock, $1.00 Par Value Per Share (PSN)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
Newport Trust Company, LLC 47.76% -2.06% $4.23B -$92.8M 51M -2.15% Newport Trust Company, LLC Sep 30, 2025

Institutional Holders of PARSONS CORP - Common Stock, $1.00 Par Value Per Share (PSN)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 111M $9.17B -$21.1M $82.92 369
2025 Q2 111M $7.98B +$339M $71.77 367
2025 Q1 107M $6.35B -$116M $59.21 347
2024 Q4 106M $9.8B +$1.83M $92.25 424
2024 Q3 105M $10.9B -$91.6M $103.68 381
2024 Q2 104M $8.53B +$15.4M $81.81 339
2024 Q1 104M $8.63B +$54.2M $82.95 333
2023 Q4 80.4K $5.04M -$595K $62.71 3
2023 Q3 103M $5.6B +$24.5M $54.35 234
2023 Q2 102M $4.91B -$97.5M $48.14 207
2023 Q1 105M $4.71B +$117M $44.74 205
2022 Q4 103M $4.74B -$67.4M $46.25 209
2022 Q3 103M $4.03B -$144M $39.20 168
2022 Q2 103M $4.18B +$27M $40.42 167
2022 Q1 103M $3.97B +$77.5M $38.70 166
2021 Q4 100M $3.37B -$126M $33.65 148
2021 Q3 103M $3.48B -$67.1M $33.76 158
2021 Q2 104M $4.11B -$49.8M $39.36 148
2021 Q1 106M $4.29B +$140M $40.44 138
2020 Q4 103M $3.74B -$33.2M $36.41 148
2020 Q3 103M $3.47B +$97.9M $33.54 143
2020 Q2 101M $3.65B +$9.22M $36.24 134
2020 Q1 99.8M $3.19B +$42.2M $31.96 122
2019 Q4 97.9M $4.04B -$42.8M $41.28 113
2019 Q3 99.5M $3.28B +$6.52M $32.98 105
2019 Q2 99.1M $3.65B +$3.65B $36.86 98