E.W. SCRIPPS Co - Class A Common shares, $.01 par value per share (SSP)

Historical Holders from Q1 2014 to Q3 2025

Symbol
SSP on Nasdaq
CUSIP
811054402
Type / Class
Equity / Class A Common shares, $.01 par value per share
Shares outstanding
75.3M
All holders as of June 30, 2025
Q2 2025
Total 13F shares, excl. options
54.5M
Holdings value
$160M
% of all portfolios
0.001%
Grand Portfolio weight change
0%
Number of holders
141
Number of buys
65
Number of sells
-64
Average Value change %
0%
Average buys %
+0%
Average sells %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of E.W. SCRIPPS Co - Class A Common shares, $.01 par value per share (SSP)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 6% $13.4M 4.52M BlackRock, Inc. Mar 31, 2025
GAMCO INVESTORS, INC. ET AL 3.3% $5.98M 2.48M GAMCO Asset Management Inc. Aug 5, 2025

Institutional Holders of E.W. SCRIPPS Co - Class A Common shares, $.01 par value per share (SSP)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 254K $624K -$1.93M $2.46 11
2025 Q2 54.5M $160M -$42K $2.94 141
2025 Q1 54.5M $161M -$601K $2.96 143
2024 Q4 55.1M $122M -$4.99M $2.21 149
2024 Q3 56.4M $127M -$7.53M $2.25 147
2024 Q2 58.9M $185M -$8.8M $3.14 157
2024 Q1 59.6M $234M +$6.45M $3.93 176
2023 Q4 1.15M $9.17M +$321K $7.99 3
2023 Q3 57.6M $315M +$7.76M $5.48 154
2023 Q2 56M $512M +$3.39M $9.15 155
2023 Q1 55.5M $522M -$1.27M $9.41 161
2022 Q4 55.4M $731M +$246K $13.19 158
2022 Q3 55.5M $625M +$10.3M $11.27 142
2022 Q2 54.6M $681M -$1.99M $12.47 157
2022 Q1 55M $1.14B -$4.81M $20.79 165
2021 Q4 55.3M $1.07B +$21.3M $19.35 167
2021 Q3 54.1M $978M -$6.95M $18.06 160
2021 Q2 53.9M $1.1B +$28.5M $20.39 166
2021 Q1 52.8M $1.02B -$50.8M $19.27 170
2020 Q4 56.8M $869M -$8.03M $15.29 153
2020 Q3 56.1M $642M -$26.5M $11.44 144
2020 Q2 60M $525M -$6.12M $8.75 135
2020 Q1 60M $452M +$9.71M $7.54 138
2019 Q4 57.7M $906M +$8.8M $15.71 149
2019 Q3 58.2M $773M +$21.1M $13.28 153
2019 Q2 56.1M $856M +$1.92M $15.29 162
2019 Q1 56M $1.18B -$58.4M $21.00 187
2018 Q4 59M $929M -$50.7M $15.73 165
2018 Q3 62M $1.02B -$23.3M $16.50 149
2018 Q2 63.1M $844M +$1.62M $13.39 142
2018 Q1 63.6M $763M +$10M $11.99 146
2017 Q4 62.4M $975M -$35M $15.63 147
2017 Q3 64.1M $1.22B +$34.8M $19.11 147
2017 Q2 62.1M $1.11B +$8.15M $17.81 151
2017 Q1 60.3M $1.41B +$73.4M $23.44 163
2016 Q4 64.3M $1.24B +$12.7M $19.33 156
2016 Q3 62.5M $993M +$19.4M $15.90 153
2016 Q2 63.8M $1.01B +$10.2M $15.84 151
2016 Q1 60M $936M +$34.3M $15.59 150
2015 Q4 59.2M $1.13B +$13.3M $19.00 145
2015 Q3 58.8M $1.04B +$29.5M $17.67 142
2015 Q2 51.1M $1.17B +$406M $22.85 155
2015 Q1 33.7M $955M +$63.4M $28.44 135
2014 Q4 34.8M $777M +$24.4M $22.35 119
2014 Q3 34.5M $563M +$66.6M $16.31 132
2014 Q2 28.6M $604M +$12.7M $21.16 128
2014 Q1 29.3M $519M -$23M $17.72 128