Science Applications International Corp - Common Stock (SAIC)

Historical Holders from Q1 2014 to Q1 2025

Symbol
SAIC on Nasdaq
CUSIP
808625107
Type / Class
Equity / Common Stock
Shares outstanding
48.9M
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
36.8M
Holdings value
$4.12B
% of all portfolios
0.003%
Grand Portfolio weight change
+0%
Number of holders
434
Number of buys
207
Number of sells
-178
Average Value change %
+0%
Average buys %
+0.001%
Average sells %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of Science Applications International Corp - Common Stock (SAIC)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
Boston Partners 4.68% $238M 2.29M Boston Partners Dec 31, 2024
WELLINGTON MANAGEMENT GROUP LLP 3.5% $179M 1.72M Wellington Management Group LLP Dec 31, 2024

Institutional Holders of Science Applications International Corp - Common Stock (SAIC)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 439K $49.3M -$4.64M $112.27 44
2024 Q4 36.8M $4.12B +$27.4M $111.78 434
2024 Q3 36.5M $5.08B -$330M $139.27 398
2024 Q2 39M $4.58B +$48.3M $117.55 390
2024 Q1 38.5M $5.02B -$126M $130.39 398
2023 Q4 39.5M $4.92B -$22.3M $124.32 394
2023 Q3 39.3M $4.15B -$41.5M $105.54 361
2023 Q2 39.4M $4.43B -$162M $112.48 352
2023 Q1 41M $4.4B -$14.5M $107.46 360
2022 Q4 41.5M $4.6B -$56.9M $110.93 365
2022 Q3 41.2M $3.65B +$11.3M $88.43 300
2022 Q2 40.7M $3.79B -$48.7M $93.10 311
2022 Q1 41.4M $3.81B -$78.2M $92.17 330
2021 Q4 43.4M $3.63B -$129M $83.59 333
2021 Q3 44.9M $3.84B +$59.9M $85.56 304
2021 Q2 44.2M $3.88B -$31.9M $87.73 321
2021 Q1 43.4M $3.64B -$27.3M $83.59 327
2020 Q4 44.2M $4.18B -$98.7M $94.64 353
2020 Q3 45.4M $3.56B +$58.4M $78.42 318
2020 Q2 44.6M $3.47B +$28.7M $77.68 325
2020 Q1 43.7M $3.26B -$60M $74.63 300
2019 Q4 44.6M $3.89B -$55.5M $87.02 287
2019 Q3 45.3M $3.95B -$130M $87.35 286
2019 Q2 46.8M $4.04B +$227M $86.56 293
2019 Q1 45.4M $3.49B +$1.25B $76.95 280
2018 Q4 28.9M $1.84B +$13.3M $63.70 244
2018 Q3 29.3M $2.36B +$65.9M $80.60 271
2018 Q2 27.6M $2.23B +$80.7M $80.93 266
2018 Q1 27.9M $2.2B +$20.1M $78.80 262
2017 Q4 27.9M $2.13B -$51.2M $76.57 247
2017 Q3 27.3M $1.82B -$4.42M $66.85 229
2017 Q2 28.3M $1.96B -$81M $69.42 261
2017 Q1 29.2M $2.17B +$298M $74.40 261
2016 Q4 29.8M $2.53B +$102M $84.80 280
2016 Q3 28.5M $1.98B -$13.7M $69.37 243
2016 Q2 27.9M $1.63B -$24.9M $58.35 237
2016 Q1 28.7M $1.53B +$23.5M $53.34 241
2015 Q4 28.3M $1.29B -$68.4M $45.78 235
2015 Q3 29.6M $1.19B +$2.73M $40.21 224
2015 Q2 28.6M $1.51B +$37M $52.85 236
2015 Q1 27.5M $1.41B +$93.3M $51.35 221
2014 Q4 26.6M $1.32B +$15.6M $49.53 211
2014 Q3 26M $1.15B -$71.7M $44.23 186
2014 Q2 27.6M $1.22B +$88.3M $44.16 189
2014 Q1 25.6M $955M +$15.2M $37.39 183