ACCENTURE PLC IRELAND - CALL Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2025

Type / Class
Equity / CALL
Price per share
$3.21
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
35,400
Total reported value
$8,729,000
% of total 13F portfolios
0%
Share change
+11,600
Value change
+$2,860,350
Number of holders
1
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 1 institutional investors reported holding 35,400 shares of ACCENTURE PLC IRELAND - CALL.

Institutional Holders of ACCENTURE PLC IRELAND - CALL across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 $3.21 0
2025 Q3 35,400 $8,729,000 +$2,860,350 $246.60 1
2025 Q2 23,800 $7,113,000 +$1,075,916 $298.89 1
2025 Q1 20,200 $6,303,000 +$6,303,000 $312.04 1
2024 Q4 90 $24,000 -$10,667 $351.79 1
2024 Q3 130 $35,000 -$341,923 $353.48 8
2024 Q2 1,400 $368,000 -$213,512 $303.41 8
2024 Q1 616 $213,512 $0 $346.61 9
2023 Q4 0 $0 -$276,000 $350.91 9
2023 Q3 4,800 $1,397,000 -$97,667 $307.11 13
2023 Q2 5,200 $1,527,000 +$205,558 $308.58 12
2023 Q1 4,500 $1,329,000 +$236,267 $285.81 11
2022 Q4 3,700 $1,124,000 -$30,378 $266.84 11
2022 Q3 $257.30 8
2022 Q2 3,400 $1,090 -$705 $277.65 8
2022 Q1 $337.20 8
2021 Q4 429,457 $178,042 $0 $414.51 1
2021 Q3 $319.87 5
2021 Q2 0 $0 -$902 $294.79 6
2021 Q1 3,265 $902,000 +$902,000 $276.24 5
2020 Q4 $261.21 6
2020 Q3 $225.99 6
2020 Q2 $214.73 6
2020 Q1 $163.26 3
2019 Q4 $210.56 8
2019 Q3 $192.35 7
2019 Q2 $184.77 5
2019 Q1 3,200 $557,000 +$557,000 $176.02 5
2018 Q4 $141.01 5
2018 Q3 $170.20 4
2018 Q2 0 $0 -$168,000 $163.59 3
2018 Q1 1,095 $168,000 +$168,000 $153.50 4
2017 Q4 $153.09 6
2017 Q3 $135.08 5
2017 Q2 $123.72 6
2017 Q1 $172.40 4
2016 Q4 $117.13 5
2016 Q3 $122.17 3
2016 Q2 $113.29 5
2016 Q1 $115.40 5
2015 Q4 $104.50 6
2015 Q3 $98.26 5
2015 Q2 $96.79 5
2015 Q1 $93.69 5
2014 Q4 $89.31 4
2014 Q3 0 $0 -$32,000 $81.32 5
2014 Q2 400 $32,000 +$32,000 $80.83 5
2014 Q1 $79.72 3