WERNER ENTERPRISES INC - Common Shares (WERN)

Historical Holders from Q1 2014 to Q3 2025

Symbol
WERN on Nasdaq
CUSIP
950755108
Type / Class
Equity / Common Shares
Shares outstanding
61.8M
All holders as of June 30, 2025
Q2 2025
Total 13F shares, excl. options
61.3M
Holdings value
$1.68B
% of all portfolios
0.002%
Grand Portfolio weight change
+0%
Number of holders
234
Number of buys
126
Number of sells
-133
Average Value change %
0%
Average buys %
+0%
Average sells %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of WERNER ENTERPRISES INC - Common Shares (WERN)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 14.4% $234M 8.88M BlackRock, Inc. Jun 30, 2025
VICTORY CAPITAL MANAGEMENT INC 5.68% $100M 3.51M Victory Capital Management, Inc. Sep 30, 2024
NUANCE INVESTMENTS, LLC 4.58% $80.8M 2.83M Nuance Investments LLC Mar 31, 2025
MACQUARIE GROUP LTD 4.46% $72.8M 2.76M Macquarie Group Limited Jun 30, 2025

Institutional Holders of WERNER ENTERPRISES INC - Common Shares (WERN)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 93.7K $2.48M -$417K $26.32 3
2025 Q2 61.3M $1.68B +$39.4M $27.36 234
2025 Q1 59.7M $1.75B -$46.3M $29.30 253
2024 Q4 60.6M $2.18B +$92.1M $35.92 254
2024 Q3 57.9M $2.24B +$34.7M $38.59 251
2024 Q2 57.5M $2.06B +$68.5M $35.83 237
2024 Q1 55.6M $2.17B +$63.5M $39.12 248
2023 Q4 408K $17.3M +$13.8M $42.37 3
2023 Q3 53M $2.07B -$52.9M $38.95 247
2023 Q2 53.1M $2.35B -$64.7M $44.18 258
2023 Q1 54.9M $2.49B +$39.8M $45.49 263
2022 Q4 53.9M $2.17B +$19.6M $40.26 265
2022 Q3 48.3M $1.82B -$37.5M $37.60 251
2022 Q2 54.4M $2.09B -$71.5M $38.54 256
2022 Q1 56.3M $2.31B +$28.6M $41.00 270
2021 Q4 55.7M $2.65B -$93.9M $47.66 265
2021 Q3 56.3M $2.49B +$56.2M $44.27 261
2021 Q2 56M $2.49B +$18.5M $44.52 258
2021 Q1 55.5M $2.62B +$39.5M $47.17 266
2020 Q4 55.3M $2.17B -$48.6M $39.22 257
2020 Q3 55M $2.31B -$61.7M $41.99 255
2020 Q2 56.5M $2.46B +$563M $43.53 259
2020 Q1 43.8M $1.59B -$7.95M $36.26 200
2019 Q4 42.2M $1.54B -$22.6M $36.39 211
2019 Q3 45.6M $1.61B -$54M $35.30 197
2019 Q2 47.5M $1.48B +$53.2M $31.08 214
2019 Q1 47.2M $1.61B -$34.1M $34.15 216
2018 Q4 48.1M $1.42B -$121M $29.54 218
2018 Q3 52M $1.84B +$96.4M $35.35 231
2018 Q2 49.1M $1.84B +$20.4M $37.55 224
2018 Q1 49.2M $1.8B +$71.6M $36.50 219
2017 Q4 47.4M $1.83B +$23.5M $38.65 195
2017 Q3 46.9M $1.71B +$46.8M $36.55 185
2017 Q2 46.4M $1.36B -$37.6M $29.35 159
2017 Q1 47.8M $1.25B +$102M $26.20 170
2016 Q4 47.4M $1.28B +$22.5M $26.95 176
2016 Q3 47M $1.09B +$6.47M $23.27 159
2016 Q2 46.8M $1.08B +$24.2M $22.97 167
2016 Q1 45.2M $1.23B +$8.59M $27.16 187
2015 Q4 45.1M $1.05B +$14.4M $23.39 174
2015 Q3 44.3M $1.11B -$67.1M $25.10 180
2015 Q2 46.3M $1.22B +$37.3M $26.25 195
2015 Q1 45M $1.41B +$44.4M $31.41 187
2014 Q4 43.7M $1.36B -$51.7M $31.15 177
2014 Q3 45.1M $1.14B +$25.4M $25.20 164
2014 Q2 44M $1.17B +$21.7M $26.51 161
2014 Q1 42.2M $1.08B -$36.3M $25.51 164