ASHTEAD GROUP - COM

Historical Holders from Q4 2016 to Q3 2025

Type / Class
Equity / COM
Price per share
$66.84
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
10,407,908
Total reported value
$695,617,843
% of total 13F portfolios
0%
Share change
-298,865
Value change
-$19,975,884
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
4
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, ASHTEAD GROUP - COM has 4 institutional shareholders filing 13F forms. They hold 10,407,908 shares. .

Institutional Holders of ASHTEAD GROUP - COM across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q3 10,407,908 $695,617,843 -$19,975,884 6,684.13% 4
2025 Q2 10,706,773 $685,206,789 +$32,911,206 6,398.16% 4
2025 Q1 10,192,542 $547,880,802 +$43,744,241 5,351.45% 4
2024 Q4 9,377,366 $582,857,462 -$10,320,236 6,216.93% 4
2024 Q3 9,543,024 $740,425,950 -$12,414,927 7,761.05% 5
2024 Q2 9,702,951 $647,903,998 -$12,139,354 6,677.27% 4
2024 Q1 9,884,749 $704,071,525 +$16,541,564 7,122.62% 4
2023 Q4 9,652,431 $672,153,248 +$2,756,122 6,958.39% 4
2023 Q3 9,613,045 $586,851,282 +$25,013,700 6,105.1% 4
2023 Q2 9,203,337 $636,950,835 +$20,743,781 6,921.23% 3
2023 Q1 8,903,575 $545,450,012 -$1,679,975 6,122.14% 3
2022 Q4 8,931,001 $508,203,734 +$20,914,758 5,703.18% 3
2022 Q3 8,565,025 $392,420,000 +$47,853,933 4,561.2% 3
2022 Q2 7,520,027 $315,850,000 +$129,156,005 4,182.7% 4
2022 Q1 4,466,008 $283,988,000 +$47,501,284 6,356.67% 2
2021 Q4 3,715,614 $298,967,000 +$4,676,898 8,046.83% 4
2021 Q3 3,657,445 $278,282,000 -$1,127,833 7,599.94% 3
2021 Q2 3,672,188 $272,213,000 +$5,625,112 7,410.09% 3
2021 Q1 3,596,346 $214,714,000 +$116,670,683 5,969.95% 3
2020 Q4 1,644,275 $77,278,863 +$10,751,211 4,700.63% 4
2020 Q3 1,415,507 $51,208,000 -$81,368,807 3,617% 3
2020 Q2 3,728,973 $125,347,000 +$88,747,298 3,360% 3
2020 Q1 1,092,370 $24,030,000 +$24,030,008 2,193.65% 2
2017 Q1 0 $0 -$160,000 0
2016 Q4 8,218 $160,000 +$160,000 1,946.95% 1