RECRUIT HLDGS CO LTD UNSPONSORD ADR - ADR (RCRUY) Institutional Ownership

13F Institutional Holders and Ownership History from Q4 2018 to Q4 2025

Type / Class
Equity / ADR
Symbol
RCRUY
Price per share
$11.25
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
130,053
Total reported value
$1,386,308
% of total 13F portfolios
0%
Share change
-18,787
Value change
-$201,938
Number of holders
8
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 8 institutional investors reported holding 130,053 shares of RECRUIT HLDGS CO LTD UNSPONSORD ADR - ADR (RCRUY).

Institutional Holders of RECRUIT HLDGS CO LTD UNSPONSORD ADR - ADR (RCRUY) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 31,255 $351,619 +$72,720 $11.25 1
2025 Q3 130,053 $1,386,308 -$201,938 $10.66 8
2025 Q2 150,646 $1,769,289 -$79,504 $11.75 9
2025 Q1 157,844 $1,627,307 -$458,932 $10.31 10
2024 Q4 195,601 $2,732,663 +$295,902 $13.97 11
2024 Q3 174,807 $2,120,419 -$126,763 $12.13 11
2024 Q2 188,679 $2,024,516 +$132,845 $10.73 9
2024 Q1 176,603 $1,546,948 -$120,468 $8.76 11
2023 Q4 190,805 $1,589,122 -$3,121,931 $8.35 9
2023 Q3 674,851 $4,155,550 -$447,015 $6.11 11
2023 Q2 746,190 $4,713,844 -$2,319,053 $6.31 13
2023 Q1 1,113,713 $6,108,373 -$5,924,708 $5.48 8
2022 Q4 2,080,216 $13,025,510 -$1,417,172 $6.33 10
2022 Q3 2,206,481 $12,664,167 -$1,353,730 $5.73 9
2022 Q2 2,587,330 $15,137,735 -$626,866 $5.82 10
2022 Q1 2,689,539 $23,733,505 +$5,462,881 $8.77 12
2021 Q4 185 $3,000 -$433,449 $16.49 2
2021 Q3 2,534,343 $31,039,114 +$4,746,754 $12.25 16
2021 Q2 2,146,776 $21,152,930 -$37,264,041 $9.85 14
2021 Q1 5,934,489 $58,317,929 +$1,574,553 $9.79 13
2020 Q4 5,866,805 $49,270,795 +$14,216,717 $8.38 15
2020 Q3 4,149,478 $33,193,000 +$8,576,186 $7.93 8
2020 Q2 3,101,976 $21,141,000 +$5,355,255 $6.82 7
2020 Q1 2,316,520 $11,966,000 +$1,451,631 $5.17 6
2019 Q4 2,081,313 $15,708,000 +$2,704,275 $7.52 7
2019 Q3 1,722,791 $10,501,000 +$4,062,016 $6.08 5
2019 Q2 1,049,197 $6,938,363 +$5,522,770 $6.61 3
2019 Q1 221,697 $1,264,000 +$1,121,016 $5.70 3
2018 Q4 25,069 $121,000 +$121,001 $4.82 2