SILICON LABORATORIES INC. - Common Stock (SLAB)

Historical Holders from Q1 2014 to Q3 2025

Symbol
SLAB on Nasdaq
CUSIP
826919102
Type / Class
Equity / Common Stock
Shares outstanding
32.6M
All holders as of June 30, 2025
Q2 2025
Total 13F shares, excl. options
34.1M
Holdings value
$5.02B
% of all portfolios
0.003%
Grand Portfolio weight change
+0%
Number of holders
327
Number of buys
163
Number of sells
-167
Average Value change %
+0%
Average buys %
+0.001%
Average sells %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of SILICON LABORATORIES INC. - Common Stock (SLAB)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 12.5% $357M 4.05M BlackRock, Inc. Mar 31, 2025
Capital Research Global Investors 3.7% -41.4% $175M -$134M 1.21M -43.4% Capital Research Global Investors Jun 30, 2025

Institutional Holders of SILICON LABORATORIES INC. - Common Stock (SLAB)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 118K $15.5M +$10.4M $131.13 6
2025 Q2 34.1M $5.02B +$26.7M $147.36 327
2025 Q1 34.1M $3.84B +$29.8M $112.57 323
2024 Q4 33.8M $4.19B +$178M $124.22 290
2024 Q3 32.3M $3.74B +$23.3M $115.57 296
2024 Q2 32.1M $3.55B -$36M $110.63 291
2024 Q1 32.2M $4.62B -$69.3M $143.72 296
2023 Q4 55K $7.27M +$1.5M $132.27 3
2023 Q3 31.5M $3.65B -$99M $115.89 312
2023 Q2 32.2M $5.09B -$310M $157.74 311
2023 Q1 33.9M $5.93B +$372M $175.09 336
2022 Q4 31.7M $4.3B -$273M $135.67 299
2022 Q3 32.5M $4.01B -$30.2M $123.44 289
2022 Q2 33.5M $4.69B -$199M $140.22 301
2022 Q1 35.4M $5.32B -$251M $150.20 314
2021 Q4 37.6M $7.75B -$448M $206.42 306
2021 Q3 39.6M $5.55B -$367M $140.16 272
2021 Q2 42.7M $6.54B +$133M $153.25 257
2021 Q1 41.7M $5.89B +$33.9M $141.07 274
2020 Q4 41.7M $5.31B +$103M $127.34 260
2020 Q3 40.4M $3.95B -$25.9M $97.85 254
2020 Q2 40.6M $4.07B +$91.1M $100.27 242
2020 Q1 39.5M $3.37B -$60.8M $85.41 235
2019 Q4 40.9M $4.74B -$41.1M $115.98 261
2019 Q3 41.2M $4.59B +$55.8M $111.35 260
2019 Q2 40.7M $4.21B +$109M $103.40 252
2019 Q1 40.4M $3.26B -$3.65M $80.86 231
2018 Q4 40.1M $3.16B -$4.97M $78.81 246
2018 Q3 40.2M $3.69B +$96.8M $91.80 245
2018 Q2 39.8M $3.96B +$124M $99.60 241
2018 Q1 39.4M $3.54B +$73.5M $89.90 248
2017 Q4 38.6M $3.41B -$52.4M $88.30 254
2017 Q3 39.2M $3.13B +$66.3M $79.90 234
2017 Q2 38.2M $2.61B +$7.01M $68.35 226
2017 Q1 38.3M $2.82B +$376M $73.55 233
2016 Q4 37M $2.41B -$15.5M $65.00 219
2016 Q3 37.2M $2.19B +$55.4M $58.80 210
2016 Q2 36.4M $1.77B -$21.3M $48.74 184
2016 Q1 36.9M $1.66B -$12.3M $44.96 179
2015 Q4 36.6M $1.78B -$67.9M $48.54 184
2015 Q3 38.9M $1.61B -$25.3M $41.54 167
2015 Q2 37.1M $2.01B +$61.8M $54.01 182
2015 Q1 37.5M $1.9B +$16.2M $50.77 174
2014 Q4 36.6M $1.74B -$7.11M $47.62 175
2014 Q3 38.1M $1.55B -$72.8M $40.64 170
2014 Q2 38.1M $1.87B +$25.7M $49.25 155
2014 Q1 37.5M $1.96B +$65.3M $52.25 161