STUDIO CITY INTERNATIONAL HOLDINGS Ltd - SPON ADS (MSC)

Historical Holders from Q4 2018 to Q3 2025

Type / Class
Equity / SPON ADS
Symbol
MSC on NYSE
Price per share
$4.31
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
38,971,025
Total reported value
$148,219,365
% of total 13F portfolios
0%
Share change
-58,093
Value change
-$226,563
Number of holders
11
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, STUDIO CITY INTERNATIONAL HOLDINGS Ltd - SPON ADS (MSC) has 11 institutional shareholders filing 13F forms. They hold 38,971,025 shares. .

Institutional Holders of STUDIO CITY INTERNATIONAL HOLDINGS Ltd - SPON ADS (MSC) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q3 38,971,025 $148,219,365 -$226,563 $3.90 11
2025 Q2 39,029,118 $120,824,094 -$45,679 $3.18 10
2025 Q1 39,041,315 $137,942,304 -$554,480 $3.62 12
2024 Q4 39,143,553 $215,711,843 -$217,968 $5.65 16
2024 Q3 39,207,448 $286,700,372 +$353,712 $7.50 14
2024 Q2 39,163,148 $229,104,231 +$57,558 $5.85 16
2024 Q1 39,153,309 $271,334,226 +$127,297 $6.93 15
2023 Q4 39,134,940 $253,594,390 -$34,899 $6.48 15
2023 Q3 39,166,074 $197,004,606 +$239,781 $5.03 15
2023 Q2 39,118,355 $271,430,315 -$361,587 $6.94 15
2023 Q1 40,091,233 $266,871,267 -$2,945,786 $6.66 16
2022 Q4 39,619,069 $236,129,514 -$3,875,505 $5.96 13
2022 Q3 40,252,032 $88,152,000 +$4,214 $2.19 10
2022 Q2 40,250,120 $86,539,000 -$862,086 $2.15 10
2022 Q1 40,506,160 $236,415,000 +$96,848,815 $5.84 13
2021 Q4 23,912,513 $127,454,000 -$12,984 $5.33 13
2021 Q3 23,915,195 $195,387,000 -$974,345 $8.17 14
2021 Q2 24,034,297 $276,846,000 +$47,862,365 $11.52 15
2021 Q1 24,037,791 $317,190,000 +$1,695,666 $13.20 15
2020 Q4 23,906,893 $283,774,000 -$99,958 $11.87 12
2020 Q3 23,914,956 $387,419,000 +$106,615,324 $15.97 13
2020 Q2 17,335,978 $275,639,000 +$201,469 $15.90 12
2020 Q1 17,338,818 $350,242,000 +$376,756 $20.20 13
2019 Q4 17,321,394 $342,848,000 -$1,722,782 $19.75 14
2019 Q3 17,406,809 $349,877,000 +$1,185,536 $20.10 16
2019 Q2 17,348,008 $343,834,000 +$5,624,351 $19.82 16
2019 Q1 17,274,257 $273,450,000 -$389,258 $15.83 16
2018 Q4 17,298,136 $289,224,000 +$285,739,408 $16.72 17