Phillips 66 - Common Stock (PSX)

Historical Holders from Q1 2014 to Q1 2025

Symbol
PSX on NYSE
CUSIP
718546104
Type / Class
Equity / Common Stock
Shares outstanding
408M
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
306M
Holdings value
$34.9B
% of all portfolios
0.032%
Grand Portfolio weight change
+0.001%
Number of holders
1740
Number of buys
684
Number of sells
-822
Average Value change %
0%
Average buys %
+0.003%
Average sells %
-0.007%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of Phillips 66 - Common Stock (PSX)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
VANGUARD GROUP INC 10% $5.04B 40.8M The Vanguard Group Feb 28, 2025

Institutional Holders of Phillips 66 - Common Stock (PSX)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 6.54M $807M -$71.7M $123.48 395
2024 Q4 306M $34.9B +$717M $113.93 1,740
2024 Q3 299M $39.3B -$2.03B $131.45 1,749
2024 Q2 314M $44.3B -$244M $141.17 1,761
2024 Q1 316M $51.5B -$1.8B $163.34 1,856
2023 Q4 329M $43.8B +$1.56B $133.14 1,748
2023 Q3 310M $37.2B -$287M $120.15 1,622
2023 Q2 315M $30.1B -$996M $95.38 1,500
2023 Q1 323M $32.7B -$730M $101.38 1,533
2022 Q4 332M $34.5B -$39M $104.08 1,530
2022 Q3 302M $24.4B -$320M $80.72 1,364
2022 Q2 306M $25.1B +$761M $81.99 1,405
2022 Q1 337M $29.1B +$2.77B $86.39 1,416
2021 Q4 273M $19.8B +$242M $72.46 1,317
2021 Q3 270M $18.9B -$198M $70.03 1,208
2021 Q2 306M $26.3B -$28.1M $85.82 1,301
2021 Q1 305M $24.9B +$486M $81.54 1,240
2020 Q4 259M $18.1B +$107M $69.94 1,198
2020 Q3 255M $13.2B +$31.6M $51.84 1,098
2020 Q2 255M $18.3B -$42.1M $71.90 1,241
2020 Q1 252M $13.5B -$1.03B $53.65 1,169
2019 Q4 306M $34B -$39.9M $111.41 1,511
2019 Q3 301M $30.8B -$552M $102.40 1,373
2019 Q2 305M $28.5B +$176M $93.54 1,337
2019 Q1 307M $29.2B +$71.8M $95.17 1,378
2018 Q4 307M $26.4B +$42M $86.15 1,331
2018 Q3 308M $34.7B -$557M $112.72 1,370
2018 Q2 327M $36.7B +$541M $112.31 1,343
2018 Q1 326M $31.3B -$3.49B $95.92 1,269
2017 Q4 336M $34B -$11M $101.15 1,266
2017 Q3 336M $30.8B +$199M $91.61 1,138
2017 Q2 362M $29.9B -$42.8M $82.69 1,105
2017 Q1 366M $29B +$1.98B $79.22 1,104
2016 Q4 368M $31.8B -$348M $86.41 1,142
2016 Q3 370M $29.8B -$399M $80.55 1,074
2016 Q2 371M $29.5B -$380M $79.34 1,079
2016 Q1 376M $32.5B -$23.6M $86.59 1,109
2015 Q4 381M $31.1B -$917M $81.80 1,112
2015 Q3 389M $29.9B +$99.8M $76.84 1,027
2015 Q2 381M $30.7B +$369M $80.56 1,053
2015 Q1 384M $30.2B -$364M $78.60 1,054
2014 Q4 388M $27.8B -$440M $71.70 1,025
2014 Q3 395M $32.1B -$238M $81.31 1,014
2014 Q2 399M $32.1B +$861M $80.43 1,029
2014 Q1 388M $29.9B -$2.05B $77.06 1,004