RELIANCE, INC. - COMMON STOCK (RS)

Historical Holders from Q1 2014 to Q3 2025

Symbol
RS on NYSE
CUSIP
759509102
Type / Class
Equity / COMMON STOCK
Shares outstanding
53.5M
All holders as of September 30, 2025
Q3 2025
Total 13F shares, excl. options
41.4M
Holdings value
$11.6B
% of all portfolios
0.006%
Grand Portfolio weight change
-0.001%
Number of holders
627
Number of buys
287
Number of sells
-280
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 RELIANCE, INC. - COMMON STOCK (RS)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
PRICE T ROWE ASSOCIATES INC /MD/ 1.8% $270M 963K T. Rowe Price Associates, Inc. Sep 30, 2025

Institutional Holders of RELIANCE, INC. - COMMON STOCK (RS)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 41.4M $11.6B -$454M $280.83 627
2025 Q2 42.8M $13.4B +$81M $313.90 613
2025 Q1 42.6M $12.3B -$540M $288.75 602
2024 Q4 44.4M $12B +$314M $269.26 576
2024 Q3 43M $12.4B -$430M $289.21 582
2024 Q2 45M $12.9B -$3.96M $285.60 569
2024 Q1 44.4M $14.8B -$205M $334.18 601
2023 Q4 290K $81.1M -$771K $279.68 10
2023 Q3 46.1M $12.1B -$392M $262.23 519
2023 Q2 47.4M $12.9B -$569M $271.59 511
2023 Q1 48M $12.3B +$167M $256.74 508
2022 Q4 47.8M $9.68B -$67.9M $202.44 484
2022 Q3 47.9M $8.36B -$467M $174.41 433
2022 Q2 50.1M $8.51B -$44.2M $169.86 423
2022 Q1 50.8M $9.31B +$12M $183.35 448
2021 Q4 51.2M $8.31B -$105M $162.22 406
2021 Q3 51.8M $7.38B -$127M $142.42 412
2021 Q2 52.5M $7.93B -$80.6M $150.90 413
2021 Q1 52.9M $8.05B +$172M $152.29 398
2020 Q4 52.3M $6.26B +$60.7M $119.75 387
2020 Q3 51.7M $5.28B -$18.1M $102.04 358
2020 Q2 50.1M $4.75B -$83.3M $94.93 353
2020 Q1 51.9M $4.55B -$232M $87.59 351
2019 Q4 55.4M $6.63B -$25.2M $119.76 397
2019 Q3 55.6M $5.54B -$49.7M $99.66 375
2019 Q2 55.3M $5.23B +$214M $94.62 354
2019 Q1 54.6M $4.92B -$9.77M $90.26 351
2018 Q4 55.7M $3.97B -$281M $71.17 332
2018 Q3 59.3M $5.06B -$2.65M $85.29 367
2018 Q2 59.5M $5.21B +$99.6M $87.54 362
2018 Q1 58.7M $5.04B -$98M $85.74 344
2017 Q4 60.2M $5.16B +$12.2M $85.79 319
2017 Q3 60.6M $4.62B -$6.02M $76.17 312
2017 Q2 60.9M $4.43B -$12M $72.81 321
2017 Q1 60.8M $4.86B +$615M $80.02 323
2016 Q4 59.8M $4.76B -$39.8M $79.54 335
2016 Q3 58.3M $4.19B -$9.06M $72.03 319
2016 Q2 60.3M $4.64B +$106M $76.90 324
2016 Q1 58.2M $4.02B +$67.3M $69.19 318
2015 Q4 56.9M $3.29B -$7.81M $57.91 288
2015 Q3 57.1M $3.09B -$71.4M $54.01 295
2015 Q2 58.4M $3.53B -$168M $60.48 282
2015 Q1 61.8M $3.77B -$121M $61.08 258
2014 Q4 63.1M $3.87B -$52.5M $61.27 247
2014 Q3 64.4M $4.4B +$119M $68.40 254
2014 Q2 62.6M $4.61B -$13.7M $73.71 261
2014 Q1 60.2M $4.25B +$40.6M $70.66 264