LINDE INC/CT - COMMON STOCK (PX) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q3 2025

Type / Class
Equity / COMMON STOCK
Symbol
PX on NYSE
Price per share
$320.00
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
37,919
Total reported value
$18,011,215
% of total 13F portfolios
0%
Share change
+756
Value change
+$359,100
Number of holders
2
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 2 institutional investors reported holding 37,919 shares of LINDE INC/CT - COMMON STOCK (PX).

Institutional Holders of LINDE INC/CT - COMMON STOCK (PX) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q3 37,919 $18,011,215 +$359,100 $320.00 2
2025 Q2 67,489 $31,664,185 +$1,409,886 $469.18 3
2025 Q1 64,484 $30,026,029 +$11,545,556 $465.64 3
2024 Q4 47,203 $16,753,010 +$15,397,845 $291.84 4
2024 Q3 1 $165 $0 $165.00 1
2024 Q2 1 $165 $0 $165.00 1
2024 Q1 80 $37,000 -$37,463 $462.50 1
2023 Q4 161 $66,000 -$10,658 $409.94 1
2023 Q3 187 $70,000 +$70,000 $374.33 1
2023 Q2 1 $165 $0 $165.00 1
2023 Q1 1 $165 $0 $165.00 1
2022 Q4 1 $165 +$165 $165.00 1
2020 Q2 827 $128,000 $0 $154.78 1
2020 Q1 293 $42,280 $0 $173.00 1
2019 Q4 $212.73 1
2019 Q3 $193.81 1
2019 Q2 715 $113,000 -$338,000 $200.83 1
2019 Q1 65,133 $10,498,000 -$7,188,001 $163.93 3
2018 Q4 157,990 $25,238,000 -$34,925,837,637 $159.43 6
2018 Q3 220,119,263 $35,371,577,930 -$4,991,002,416 $160.73 1,009
2018 Q2 251,907,726 $39,827,846,442 +$650,661,169 $158.15 1,020
2018 Q1 249,478,622 $35,976,995,384 -$5,917,042 $144.30 1,003
2017 Q4 249,276,888 $38,540,320,445 +$207,763,581 $154.68 1,008
2017 Q3 247,664,453 $34,613,383,866 +$69,844,964 $139.74 921
2017 Q2 247,649,348 $32,822,337,659 -$50,269,659 $132.55 907
2017 Q1 248,128,071 $29,405,868,762 +$2,504,520,623 $118.60 891
2016 Q4 242,208,969 $28,382,645,780 -$87,966,224 $117.19 892
2016 Q3 240,916,214 $29,082,793,759 -$388,208,571 $120.83 841
2016 Q2 244,119,719 $27,435,570,629 -$234,892,326 $112.39 861
2016 Q1 246,389,199 $28,193,704,093 -$237,943,965 $114.45 863
2015 Q4 249,039,495 $25,528,561,547 -$484,916,757 $102.40 868
2015 Q3 251,610,324 $25,639,513,685 -$247,166,030 $101.86 834
2015 Q2 252,560,608 $30,191,047,400 +$165,209,436 $119.55 858
2015 Q1 255,131,044 $30,810,788,973 -$251,557,601 $120.74 886
2014 Q4 257,031,104 $33,295,125,479 -$207,174,120 $129.56 902
2014 Q3 257,365,121 $33,199,898,909 +$474,495,601 $129.00 874
2014 Q2 251,606,745 $33,421,588,236 -$591,698,498 $132.84 873
2014 Q1 256,418,486 $33,577,834,243 +$51,428,503 $130.97 877