VISTEON CORP - Common Stock (VC)

Historical Holders from Q1 2014 to Q1 2025

Symbol
VC on Nasdaq
CUSIP
92839U206
Type / Class
Equity / Common Stock
Shares outstanding
27.6M
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
28.2M
Holdings value
$2.5B
% of all portfolios
0.003%
Grand Portfolio weight change
+0%
Number of holders
259
Number of buys
133
Number of sells
-126
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 VISTEON CORP - Common Stock (VC)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
WELLINGTON MANAGEMENT GROUP LLP 6.1% $130M 1.68M Wellington Management Group LLP Dec 31, 2024
AMERICAN CENTURY INVESTMENT MANAGEMENT INC 5.7% $122M 1.58M American Century Investment Management, Inc. Dec 31, 2024
VICTORY CAPITAL MANAGEMENT INC 5.36% $115M 1.48M Victory Capital Management, Inc. Sep 30, 2024

Institutional Holders of VISTEON CORP - Common Stock (VC)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 320K $24.8M +$5.5M $77.62 26
2024 Q4 28.2M $2.5B +$112M $88.72 259
2024 Q3 26.8M $2.56B -$67.9M $95.24 283
2024 Q2 27.6M $2.94B +$14.4M $106.70 298
2024 Q1 27.3M $3.21B -$3.3M $117.61 312
2023 Q4 26.7M $3.34B -$92.7M $124.90 314
2023 Q3 27.1M $3.74B -$70.2M $138.07 273
2023 Q2 27.5M $3.95B -$80.5M $143.61 289
2023 Q1 28M $4.39B +$41.2M $156.83 306
2022 Q4 28.3M $3.7B -$26.6M $130.83 277
2022 Q3 26.6M $2.82B -$159M $106.06 225
2022 Q2 28.1M $2.91B +$129M $103.58 217
2022 Q1 26.9M $2.94B +$6.27M $109.13 230
2021 Q4 29M $3.22B +$87.8M $111.14 225
2021 Q3 27.7M $2.62B -$16.8M $94.39 206
2021 Q2 28M $3.38B +$50.9M $120.94 218
2021 Q1 28.6M $3.49B +$18.3M $121.95 214
2020 Q4 29M $3.64B -$80.5M $125.52 226
2020 Q3 30M $2.08B -$78.5M $69.22 203
2020 Q2 31.2M $2.14B -$2.54M $68.50 200
2020 Q1 31.3M $1.5B -$49.4M $47.98 173
2019 Q4 31.7M $2.75B -$195M $86.59 232
2019 Q3 33.7M $2.78B -$45M $82.54 193
2019 Q2 34.8M $2.04B +$161M $58.58 194
2019 Q1 33.3M $2.24B -$20.6M $67.35 236
2018 Q4 33.3M $2.01B -$28.6M $60.28 221
2018 Q3 33.6M $3.12B +$208M $92.90 242
2018 Q2 30.6M $3.95B +$32.3M $129.24 243
2018 Q1 31.2M $3.44B -$67.5M $110.24 259
2017 Q4 31.7M $3.96B -$38.2M $125.14 265
2017 Q3 31.5M $3.9B +$51.4M $123.77 252
2017 Q2 32.1M $3.28B -$31.7M $102.06 245
2017 Q1 33M $3.23B +$133M $97.95 234
2016 Q4 33M $2.65B -$103M $80.34 215
2016 Q3 34.2M $2.45B -$112M $71.66 211
2016 Q2 36.3M $2.39B -$214M $65.81 230
2016 Q1 39.3M $3.13B -$165M $79.59 248
2015 Q4 39.3M $4.5B -$186M $114.50 260
2015 Q3 41.8M $4.23B -$281M $101.24 238
2015 Q2 45.1M $4.73B +$132M $104.98 236
2015 Q1 43.1M $4.16B +$128M $96.40 237
2014 Q4 43.3M $4.62B -$143M $106.86 247
2014 Q3 45.2M $4.39B -$206M $97.25 233
2014 Q2 47.3M $4.58B +$47.5M $97.01 236
2014 Q1 47.1M $4.17B -$28.7M $88.44 253