S&P Global Inc. - COM (SPGI)

Historical Holders from Q1 2016 to Q1 2025

Symbol
SPGI on NYSE
CUSIP
78409V104
Type / Class
Equity / COM
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
268M
Holdings value
$133B
% of all portfolios
0.093%
Grand Portfolio weight change
+0%
Number of holders
1991
Number of buys
814
Number of sells
-847
Average Value change %
-0.02%
Average buys %
+0.007%
Average sells %
-0.027%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of S&P Global Inc. - COM (SPGI)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 4.31M $2.18B +$47.2M $508.10 339
2024 Q4 268M $133B +$90.8M $498.03 1,991
2024 Q3 266M $138B -$2.43B $516.62 1,895
2024 Q2 272M $121B +$2.69B $446.00 1,800
2024 Q1 266M $113B -$3.63B $425.45 1,801
2023 Q4 273M $120B +$1.27B $440.52 1,718
2023 Q3 269M $98.3B -$1.15B $365.41 1,583
2023 Q2 272M $109B -$1.21B $400.89 1,580
2023 Q1 274M $94.4B -$1.54B $344.77 1,545
2022 Q4 277M $92.8B -$1.96B $334.94 1,526
2022 Q3 285M $87.1B -$2.69B $305.35 1,454
2022 Q2 294M $99B -$3.96B $337.06 1,517
2022 Q1 301M $124B +$32.3B $410.18 1,609
2021 Q4 221M $104B +$1.07B $471.93 1,505
2021 Q3 224M $95B +$571M $424.89 1,391
2021 Q2 222M $91.2B +$3.35B $410.45 1,330
2021 Q1 214M $75.6B +$3.79B $352.87 1,275
2020 Q4 204M $67.1B +$1.42B $328.73 1,243
2020 Q3 200M $72.1B -$398M $360.60 1,193
2020 Q2 197M $65B -$233M $329.48 1,150
2020 Q1 197M $48.2B -$110M $245.05 1,086
2019 Q4 202M $55.3B -$428M $273.05 1,083
2019 Q3 203M $49.8B -$422M $244.98 980
2019 Q2 206M $46.9B +$1.56B $227.79 942
2019 Q1 208M $43.8B -$13.9M $210.55 908
2018 Q4 209M $35.5B -$74.9M $169.94 871
2018 Q3 210M $40.9B -$625M $195.39 892
2018 Q2 210M $42.8B -$472M $203.89 879
2018 Q1 214M $40.9B +$320M $191.06 863
2017 Q4 217M $36.8B -$268M $169.40 819
2017 Q3 218M $34.1B -$154M $156.31 744
2017 Q2 220M $32.2B -$115M $145.99 744
2017 Q1 215M $28.1B +$1.88B $130.74 695
2016 Q4 220M $23.7B -$739M $107.54 656
2016 Q3 227M $28.7B +$276M $126.56 613
2016 Q2 225M $24.1B +$22.3B $107.26 560
2016 Q1 16.9M $1.68B +$1.68B $98.98 21