RETRACTABLE TECHNOLOGIES INC - Common Stock (RVP) Institutional Ownership

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

Type / Class
Equity / Common Stock
Symbol
RVP on NYSE
Shares outstanding
29,958,045
Price per share
$0.82
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
2,466,366
Total reported value
$2,076,766
% of total 13F portfolios
0%
Share change
+375,892
Value change
+$319,899
Number of holders
32
Price from insider filings
$0.82
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of RETRACTABLE TECHNOLOGIES INC - Common Stock (RVP) based on Schedule 13D/G filings

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
SHAW THOMAS J 55% +3.2% $12,357,694 +$395,307 16,476,925 +3.3% Thomas J. Shaw 19 Aug 2025

As of 30 Sep 2025, 32 institutional investors reported holding 2,466,366 shares of RETRACTABLE TECHNOLOGIES INC - Common Stock (RVP). This represents 8.2% of the company’s total 29,958,045 outstanding shares.

Institutional Holders of RETRACTABLE TECHNOLOGIES INC - Common Stock (RVP) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q3 2,466,366 $2,076,766 +$319,899 $0.84 32
2025 Q2 2,090,474 $1,336,329 -$142,535 $0.64 30
2025 Q1 2,309,460 $1,625,141 +$49,109 $0.70 30
2024 Q4 2,241,521 $1,542,224 -$82,713 $0.69 30
2024 Q3 2,353,173 $1,811,677 +$67,549 $0.77 31
2024 Q2 2,232,435 $2,411,185 -$76,258 $1.08 33
2024 Q1 2,301,933 $2,762,091 +$42,308 $1.20 32
2023 Q4 2,271,499 $2,521,618 -$568,650 $1.11 36
2023 Q3 2,745,881 $3,267,060 -$505,308 $1.19 35
2023 Q2 3,176,681 $3,651,813 -$239,337 $1.15 40
2023 Q1 3,370,464 $5,898,417 -$22,171 $1.75 37
2022 Q4 3,388,035 $5,557,405 -$720,969 $1.64 40
2022 Q3 3,046,057 $6,031,000 -$1,320,791 $1.98 37
2022 Q2 3,160,425 $12,098,975 -$1,819,311 $3.83 47
2022 Q1 4,625,499 $21,970,009 -$1,415,297 $4.75 57
2021 Q4 5,006,962 $34,683,168 -$3,271,057 $6.93 60
2021 Q3 5,211,563 $57,583,980 -$3,188,062 $11.03 68
2021 Q2 5,515,843 $63,790,312 +$3,595,958 $11.56 69
2021 Q1 5,168,702 $66,159,627 -$9,718,497 $12.82 66
2020 Q4 6,341,620 $68,158,339 +$7,059,630 $10.74 63
2020 Q3 5,791,065 $38,564,751 +$3,671,964 $6.66 56
2020 Q2 5,227,249 $36,698,489 +$19,393,372 $7.02 50
2020 Q1 2,549,061 $3,990,000 +$1,476,955 $1.56 19
2019 Q4 1,620,624 $2,429,000 +$166,316 $1.50 14
2019 Q3 0 $0 -$52,000 $0.82 0
2019 Q2 1,321,673 $957,000 -$257,323 $0.73 14
2019 Q1 1,693,825 $1,081,000 +$54,857 $0.64 18
2018 Q4 1,612,047 $958,000 -$143,829 $0.59 15
2018 Q3 1,854,420 $1,336,000 +$46,254 $0.72 18
2018 Q2 1,790,074 $1,316,000 -$121,289 $0.73 18
2018 Q1 1,936,168 $1,992,000 +$447,429 $1.03 17
2017 Q4 1,427,018 $969,000 +$114,042 $0.68 16
2017 Q3 1,261,089 $842,000 -$8,432 $0.67 14
2017 Q2 1,343,505 $1,710,000 -$125,221 $1.27 17
2017 Q1 1,469,526 $1,632,000 +$83,945 $1.11 16
2016 Q4 1,472,060 $1,369,000 -$536,312 $0.93 19
2016 Q3 1,500,162 $3,870,000 -$12,222 $2.56 20
2016 Q2 1,505,205 $3,794,000 -$353,366 $2.52 20
2016 Q1 1,683,646 $3,618,000 -$100,761 $2.15 21
2015 Q4 1,726,228 $5,344,000 +$349,837 $3.10 22
2015 Q3 1,605,557 $5,810,000 -$226,431 $3.62 19
2015 Q2 1,651,318 $6,273,000 +$300,465 $3.80 20
2015 Q1 1,607,155 $6,234,000 -$43,709 $3.88 19
2014 Q4 1,573,403 $7,866,000 +$765,855 $5.00 22
2014 Q3 1,538,569 $4,461,000 +$30,768 $2.90 18
2014 Q2 1,530,815 $3,826,000 +$449,547 $2.50 18
2014 Q1 1,332,288 $5,051,000 +$1,739,439 $3.79 18