3M CO - Common Stock, Par Value $.01 Per Share (MMM)

Historical Holders from Q1 2014 to Q3 2025

Symbol
MMM on NYSE
CUSIP
88579Y101
Type / Class
Equity / Common Stock, Par Value $.01 Per Share
Shares outstanding
534M
All holders as of September 30, 2025
Q3 2025
Total 13F shares, excl. options
375M
Holdings value
$58.2B
% of all portfolios
0.046%
Grand Portfolio weight change
-0.004%
Number of holders
2058
Number of buys
797
Number of sells
-905
Average Value change %
0%
Average buys %
+0.004%
Average sells %
-0.006%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of 3M CO - Common Stock, Par Value $.01 Per Share (MMM)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
JPMORGAN CHASE & CO 7.6% $6.12B 40.6M JPMORGAN CHASE & CO. Jun 30, 2025
STATE STREET CORP 5.1% $3.76B 27.7M STATE STREET CORPORATION Dec 31, 2024

Institutional Holders of 3M CO - Common Stock, Par Value $.01 Per Share (MMM)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 375M $58.2B -$2.65B $155.18 2,058
2025 Q2 392M $59.7B +$1.86B $152.24 2,114
2025 Q1 381M $55.9B +$2.18B $146.86 2,120
2024 Q4 367M $47.4B +$957M $129.09 2,100
2024 Q3 357M $48.8B -$97.5M $136.70 2,065
2024 Q2 358M $36.6B +$433M $102.19 1,903
2024 Q1 355M $37.3B -$823M $106.07 1,897
2023 Q4 2.07M $226M -$69.8M $109.32 24
2023 Q3 352M $33B -$83.1M $93.62 1,793
2023 Q2 345M $34.5B -$866M $100.09 1,833
2023 Q1 360M $37.8B -$552M $105.11 1,902
2022 Q4 367M $44B +$176M $119.92 2,033
2022 Q3 362M $40B -$484M $110.50 1,979
2022 Q2 369M $47.8B -$279M $129.41 2,137
2022 Q1 373M $55.6B -$1.41B $148.88 2,216
2021 Q4 383M $68.1B -$987M $177.63 2,320
2021 Q3 387M $68B -$475M $175.42 2,183
2021 Q2 390M $77.4B +$643M $198.63 2,249
2021 Q1 385M $74.1B +$1.22B $192.68 2,220
2020 Q4 378M $66.1B +$650M $174.79 2,160
2020 Q3 375M $60B -$212M $160.18 2,002
2020 Q2 376M $58.7B -$547M $155.99 1,967
2020 Q1 374M $51.1B -$1.66B $136.51 1,914
2019 Q4 392M $69.2B +$971M $176.42 2,008
2019 Q3 388M $63.8B -$337M $164.40 1,881
2019 Q2 389M $67.4B +$1.55B $173.34 1,912
2019 Q1 388M $80.5B +$518M $207.78 1,971
2018 Q4 387M $73.9B -$529M $190.54 1,935
2018 Q3 388M $81.8B +$244M $210.71 1,877
2018 Q2 392M $77.1B -$162M $196.72 1,883
2018 Q1 391M $85.8B -$1.02B $219.52 1,915
2017 Q4 399M $93.7B -$483M $235.37 1,933
2017 Q3 399M $83.7B -$174M $209.90 1,718
2017 Q2 398M $82.9B +$1.1B $208.19 1,733
2017 Q1 361M $69.2B -$27.4M $191.33 1,695
2016 Q4 397M $70.9B -$348M $178.57 1,683
2016 Q3 399M $70.2B -$834M $176.23 1,636
2016 Q2 402M $70.3B +$177M $175.12 1,611
2016 Q1 399M $66.5B -$876M $166.63 1,591
2015 Q4 407M $61.3B -$1.76B $150.64 1,575
2015 Q3 418M $59.3B -$349M $141.77 1,520
2015 Q2 415M $64B -$1.19B $154.30 1,542
2015 Q1 432M $71.3B -$789M $164.95 1,537
2014 Q4 437M $71.8B -$733M $164.32 1,527
2014 Q3 437M $61.9B -$867M $141.68 1,416
2014 Q2 443M $63.4B -$486M $143.24 1,411
2014 Q1 446M $60.6B -$1.08B $135.66 1,399