Eaton Corp plc - Ordinary shares ($0.01 par value) (ETN)

Historical Holders from Q1 2014 to Q3 2025

Symbol
ETN on NYSE
CUSIP
G29183103
Type / Class
Equity / Ordinary shares ($0.01 par value)
Shares outstanding
390M
All holders as of September 30, 2025
Q3 2025
Total 13F shares, excl. options
317M
Holdings value
$119B
% of all portfolios
0.101%
Grand Portfolio weight change
-0.006%
Number of holders
2299
Number of buys
1136
Number of sells
-862
Average Value change %
-0.02%
Average buys %
+0.012%
Average sells %
-0.035%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of Eaton Corp plc - Ordinary shares ($0.01 par value) (ETN)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
JPMORGAN CHASE & CO 4.7% -14% $6.85B -$1.09B 18.3M -13.7% JPMORGAN CHASE & CO. Sep 30, 2025

Institutional Holders of Eaton Corp plc - Ordinary shares ($0.01 par value) (ETN)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 317M $119B -$3.66B $374.25 2,299
2025 Q2 327M $117B +$2.57B $356.99 2,292
2025 Q1 321M $87.2B -$1.59B $271.83 2,158
2024 Q4 324M $107B +$1.56B $331.87 2,235
2024 Q3 317M $105B -$3.85B $331.44 2,094
2024 Q2 329M $103B +$935M $313.55 2,038
2024 Q1 325M $102B -$1.4B $312.68 1,960
2023 Q4 3.73M $899M +$174M $240.82 32
2023 Q3 325M $69.3B +$417M $213.28 1,620
2023 Q2 318M $64B -$1.12B $201.10 1,583
2023 Q1 329M $56.4B +$1.08B $171.34 1,483
2022 Q4 323M $50.8B -$13.7M $156.95 1,447
2022 Q3 323M $43.2B +$93M $133.36 1,338
2022 Q2 323M $40.7B +$574M $125.99 1,320
2022 Q1 322M $48.8B +$410M $151.76 1,381
2021 Q4 292M $50.4B +$284M $172.82 1,422
2021 Q3 293M $43.7B -$46M $149.31 1,316
2021 Q2 319M $47.3B +$121M $148.18 1,284
2021 Q1 318M $43.9B +$315M $138.28 1,272
2020 Q4 317M $38.1B -$67.1M $120.14 1,205
2020 Q3 318M $32.4B +$8.87M $102.03 1,082
2020 Q2 298M $26.1B -$541M $87.48 1,065
2020 Q1 301M $23.4B -$829M $77.69 1,039
2019 Q4 327M $31B -$119M $94.72 1,144
2019 Q3 329M $27.3B -$133M $83.15 1,052
2019 Q2 330M $27.5B +$1.1B $83.28 1,071
2019 Q1 319M $25.7B -$199M $80.56 1,075
2018 Q4 317M $21.8B -$388M $68.66 983
2018 Q3 338M $29.3B -$71.5M $86.73 1,015
2018 Q2 324M $24.2B +$29.5M $74.74 973
2018 Q1 341M $27.2B +$1.75M $79.91 973
2017 Q4 348M $27.5B +$359M $79.01 970
2017 Q3 343M $26.3B +$7.19M $76.79 860
2017 Q2 343M $26.7B -$156M $77.83 852
2017 Q1 339M $25.1B +$2.53B $74.15 827
2016 Q4 331M $22.2B +$526M $67.09 812
2016 Q3 322M $21.1B -$153M $65.71 763
2016 Q2 331M $19.8B -$25.7M $59.73 773
2016 Q1 331M $20.7B -$30.8M $62.56 769
2015 Q4 336M $17.5B -$220M $52.04 748
2015 Q3 329M $16.9B -$15.1M $51.30 725
2015 Q2 332M $22.4B +$252M $67.49 780
2015 Q1 337M $22.9B -$268M $67.94 767
2014 Q4 333M $22.6B +$225M $67.96 769
2014 Q3 339M $21.5B -$12.1M $63.37 736
2014 Q2 338M $26.1B -$254M $77.18 775
2014 Q1 342M $25.7B -$428M $75.12 734