PayPal Holdings, Inc. - COM (PYPL) Institutional Ownership

13F Institutional Holders and Ownership History from Q3 2015 to Q4 2025

Type / Class
Equity / COM
Symbol
PYPL on Nasdaq
Price per share
$58.38
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
700,896,417
Total reported value
$47,046,673,740
% of total 13F portfolios
0.05%
Share change
-23,221,567
Value change
-$1,697,345,848
Number of holders
1,752
Price from insider filings
$58.38
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 1,752 institutional investors reported holding 700,896,417 shares of PayPal Holdings, Inc. - COM (PYPL).

Institutional Holders of PayPal Holdings, Inc. - COM (PYPL) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 16,397,429 $957,247,950 -$64,244,077 $58.38 316
2025 Q3 700,896,417 $47,046,673,740 -$1,697,345,848 $67.06 1,752
2025 Q2 723,690,301 $53,781,613,378 +$583,743,936 $74.32 1,855
2025 Q1 717,568,171 $46,776,506,514 -$1,205,762,174 $65.25 1,854
2024 Q4 729,511,076 $62,289,036,172 +$2,372,919,725 $85.35 1,963
2024 Q3 696,613,192 $54,373,279,603 -$837,797,181 $78.03 1,846
2024 Q2 711,006,211 $41,295,308,298 +$824,579,701 $58.03 1,709
2024 Q1 697,061,604 $46,669,797,654 -$2,094,973,299 $66.99 1,765
2023 Q4 3,256,803 $200,198,241 -$37,034,292 $61.41 29
2023 Q3 713,408,904 $41,688,221,304 -$1,857,379,478 $58.46 1,715
2023 Q2 734,671,847 $49,082,380,207 -$3,841,520,781 $66.73 1,828
2023 Q1 781,511,308 $59,308,032,443 -$2,222,892,482 $75.94 1,909
2022 Q4 812,860,841 $57,954,956,957 -$1,196,602,224 $71.22 1,933
2022 Q3 747,603,822 $64,421,485,238 +$1,315,202,519 $86.07 2,053
2022 Q2 816,616,688 $56,985,624,046 -$749,893,389 $69.84 1,926
2022 Q1 820,306,216 $94,846,745,626 -$8,432,121,900 $115.65 2,238
2021 Q4 832,974,701 $157,055,231,919 -$8,839,304,025 $188.58 2,531
2021 Q3 885,749,885 $230,611,725,715 -$2,589,973,315 $260.21 2,490
2021 Q2 933,226,946 $271,904,269,681 -$306,171,126 $291.48 2,539
2021 Q1 938,975,318 $228,078,219,439 -$5,986,009,246 $242.84 2,470
2020 Q4 886,551,793 $207,556,607,890 -$1,971,706,847 $234.20 2,386
2020 Q3 897,810,732 $176,768,294,363 -$2,881,536,510 $197.03 2,120
2020 Q2 909,086,194 $158,414,622,851 +$1,022,622,290 $174.23 2,020
2020 Q1 981,300,588 $93,993,868,355 +$566,674,442 $95.74 1,742
2019 Q4 976,378,954 $105,616,280,224 -$1,132,040,967 $108.17 1,793
2019 Q3 955,393,913 $98,951,654,026 -$275,935,338 $103.59 1,641
2019 Q2 957,821,882 $109,587,300,694 +$3,487,563,799 $114.46 1,665
2019 Q1 962,576,242 $99,950,916,730 +$1,060,713,827 $103.84 1,615
2018 Q4 955,346,972 $80,370,633,188 +$676,217,950 $84.09 1,544
2018 Q3 937,997,436 $82,386,184,112 +$476,429,317 $87.84 1,426
2018 Q2 884,627,302 $73,650,268,027 +$586,962,127 $83.27 1,368
2018 Q1 873,105,413 $66,226,017,015 -$2,020,266,078 $75.87 1,358
2017 Q4 896,672,978 $65,991,693,019 -$620,324,879 $73.62 1,316
2017 Q3 917,265,205 $58,729,486,738 -$1,145,136,453 $64.03 1,137
2017 Q2 938,942,309 $50,368,323,087 +$837,404,490 $53.67 1,079
2017 Q1 991,716,585 $42,664,269,626 +$2,397,698,456 $43.02 1,053
2016 Q4 998,153,166 $39,415,944,972 +$293,033,937 $39.47 1,042
2016 Q3 974,185,494 $39,901,213,362 +$874,941,382 $40.97 962
2016 Q2 952,009,775 $34,903,333,495 +$202,717,445 $36.51 989
2016 Q1 940,646,959 $36,445,149,610 -$368,091,860 $38.60 995
2015 Q4 956,055,254 $34,687,741,193 +$1,323,313,059 $36.20 984
2015 Q3 899,486,324 $27,934,780,210 +$27,413,253,608 $31.04 893