Paramount Global - Class B Common Stock (PARA) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2016 to Q3 2025

Type / Class
Equity / Class B Common Stock
Symbol
PARA
Shares outstanding
629,653,723
Price per share
$12.64
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
432,405
Total reported value
$8,961,760
% of total 13F portfolios
0%
Share change
-509,683,654
Value change
-$6,575,813,886
Number of holders
7
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of Paramount Global - Class B Common Stock (PARA) based on Schedule 13D/G filings

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 6.5% $453,067,336 40,927,492 BlackRock, Inc. 31 Dec 2024

As of 30 Sep 2025, 7 institutional investors reported holding 432,405 shares of Paramount Global - Class B Common Stock (PARA). This represents 0.07% of the company’s total 629,653,723 outstanding shares.

Institutional Holders of Paramount Global - Class B Common Stock (PARA) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q3 432,405 $8,961,760 -$6,575,813,886 $12.64 7
2025 Q2 513,715,858 $6,628,197,563 +$565,237,252 $12.90 557
2025 Q1 469,924,341 $5,620,287,988 -$104,257,204 $11.96 570
2024 Q4 482,622,956 $5,050,510,326 +$73,804,956 $10.46 636
2024 Q3 471,424,244 $5,007,859,295 +$356,391,121 $10.62 652
2024 Q2 444,647,683 $4,622,671,274 -$192,281,580 $10.39 678
2024 Q1 459,613,624 $5,409,757,553 -$199,169,007 $11.77 705
2023 Q4 3,145,069 $46,515,995 +$39,015,164 $14.79 6
2023 Q3 478,464,323 $6,173,464,134 +$82,603,795 $12.90 680
2023 Q2 467,045,474 $7,432,765,116 -$678,158,471 $15.91 702
2023 Q1 506,267,828 $11,303,175,854 +$656,045,461 $22.31 754
2022 Q4 477,969,561 $8,079,157,945 -$37,691,031 $16.88 761
2022 Q3 480,650,513 $9,161,910,619 +$165,829,757 $19.04 745
2022 Q2 470,577,152 $11,621,902,638 -$4,438,567 $24.68 823
2022 Q1 472,501,483 $17,867,975,534 +$2,513,942,367 $37.81 889
2021 Q4 406,022,856 $12,271,003,401 -$121,450,963 $30.18 900
2021 Q3 409,279,087 $16,172,005,627 -$319,019,999 $39.51 962
2021 Q2 415,369,313 $18,764,886,011 -$4,106,691,119 $45.20 980
2021 Q1 504,706,456 $22,747,444,444 +$78,603,275 $45.10 935
2020 Q4 464,752,742 $17,321,794,086 +$588,320,864 $37.26 815
2020 Q3 498,450,953 $13,982,870,025 +$1,505,329,313 $28.01 731
2020 Q2 450,291,244 $10,505,675,166 +$575,136,026 $23.32 689
2020 Q1 426,147,381 $5,976,419,544 -$969,572,080 $14.01 656
2019 Q4 449,735,955 $18,864,592,997 +$18,795,741,196 $41.97 803
2019 Q3 118,028 $5,316,621 -$26,039 $40.37 4
2019 Q2 118,673 $5,384,363 +$3,743 $49.90 4
2019 Q1 118,598 $5,370,426 $0 $47.53 4
2018 Q4 4,301 $188,040 -$31,785 $43.72 3
2018 Q3 5,028 $288,859 -$482,579 $57.45 3
2018 Q2 13,428 $754,923 +$5,622 $56.22 3
2018 Q1 13,328 $684,926 +$10,278 $51.39 3
2017 Q4 13,128 $774,552 +$158,828 $59.00 3
2017 Q3 10,436 $605,288 $0 $58.00 3
2017 Q2 10,436 $665,608 +$6,378 $63.78 3
2017 Q1 10,336 $716,904 $0 $69.36 3
2016 Q4 10,336 $657,577 +$146,326 $63.62 3
2016 Q3 7,707 $421,882 +$223,559 $54.74 2
2016 Q2 3,623 $197,236 $0 $54.44 2
2016 Q1 3,623 $199,591 $0 $55.09 2