Bank of N.T. Butterfield & Son Ltd - SHS NEW (NTB)

Historical Holders from Q3 2016 to Q1 2025

Symbol
NTB on NYSE
CUSIP
G0772R208
Type / Class
Equity / SHS NEW
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
30.9M
Holdings value
$1.13B
% of all portfolios
0.001%
Grand Portfolio weight change
0%
Number of holders
193
Number of buys
89
Number of sells
-78
Average Value change %
0%
Average buys %
+0%
Average sells %
-0.003%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of Bank of N.T. Butterfield & Son Ltd - SHS NEW (NTB)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 265K $10.3M -$6.99M $38.92 14
2024 Q4 30.9M $1.13B -$47.6M $36.55 193
2024 Q3 30.3M $1.12B +$28.5M $36.88 177
2024 Q2 29.4M $1.03B +$7.88M $35.12 167
2024 Q1 29.3M $937M -$63.6M $31.99 161
2023 Q4 31.3M $1B -$19.2M $32.01 160
2023 Q3 31.7M $858M -$14.2M $27.08 141
2023 Q2 32.5M $888M -$40.3M $27.36 148
2023 Q1 33.3M $899M -$14.4M $27.00 156
2022 Q4 33.7M $1B -$26.1M $29.81 156
2022 Q3 34.7M $1.13B +$2.23M $32.46 140
2022 Q2 34.7M $1.08B +$13.7M $31.19 136
2022 Q1 31.6M $1.14B -$38M $35.88 146
2021 Q4 32.2M $1.23B -$24.7M $38.11 137
2021 Q3 32.6M $1.16B -$6.18M $35.51 138
2021 Q2 34.4M $1.22B -$12.6M $35.45 146
2021 Q1 34.7M $1.33B -$91.6K $38.22 132
2020 Q4 34.7M $1.08B +$14.5M $31.16 132
2020 Q3 34.9M $777M -$26.5M $22.28 125
2020 Q2 36.1M $880M -$4.56M $24.39 127
2020 Q1 35.2M $599M -$45.6M $17.03 126
2019 Q4 38.9M $1.44B -$20.5M $37.02 142
2019 Q3 39.1M $1.16B -$10.3M $29.64 142
2019 Q2 39.8M $1.35B +$76.7M $33.96 148
2019 Q1 39.8M $1.43B -$71.3M $35.88 146
2018 Q4 41.8M $1.31B -$26M $31.35 154
2018 Q3 38.3M $1.98B +$67.7M $51.86 168
2018 Q2 39.8M $1.82B +$37.2M $45.72 164
2018 Q1 39.7M $1.78B -$9.92M $44.88 152
2017 Q4 40.2M $1.46B +$22.1M $36.29 133
2017 Q3 39.3M $1.44B +$41M $36.64 128
2017 Q2 38.5M $1.31B +$120M $34.10 118
2017 Q1 34.9M $1.1B +$53.7M $31.91 117
2016 Q4 33.1M $1.04B +$116M $31.44 76
2016 Q3 27.4M $667M +$667M $24.76 51