Johnson Controls International plc - SHS (JCI)

Historical Holders from Q4 2015 to Q1 2025

Symbol
JCI on NYSE
CUSIP
G51502105
Type / Class
Equity / SHS
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
597M
Holdings value
$47.1B
% of all portfolios
0.023%
Grand Portfolio weight change
+0.001%
Number of holders
1171
Number of buys
516
Number of sells
-464
Average Value change %
-0.02%
Average buys %
+0.003%
Average sells %
-0.019%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of Johnson Controls International plc - SHS (JCI)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 4.32M $346M +$17.3M $80.11 171
2024 Q4 597M $47.1B +$545M $78.93 1,171
2024 Q3 586M $45.5B -$1.7B $77.61 1,083
2024 Q2 611M $40.6B -$15.8M $66.47 1,042
2024 Q1 611M $39.9B +$571M $65.32 1,006
2023 Q4 599M $34.5B +$80.1M $57.64 971
2023 Q3 593M $31.6B -$519M $53.21 932
2023 Q2 596M $40.6B -$733M $68.14 959
2023 Q1 614M $36.9B +$190M $60.22 934
2022 Q4 604M $38.7B -$270M $64.00 928
2022 Q3 615M $30.3B +$155M $49.22 819
2022 Q2 614M $29.4B -$154M $47.88 844
2022 Q1 612M $40.2B -$473M $65.57 901
2021 Q4 620M $50.3B -$293M $81.31 980
2021 Q3 628M $42.8B -$886M $68.08 908
2021 Q2 640M $43.9B +$70.9M $68.63 875
2021 Q1 639M $38.1B -$66.4M $59.67 839
2020 Q4 624M $29.1B -$513M $46.59 777
2020 Q3 642M $26.2B -$847M $40.85 704
2020 Q2 671M $23B +$469M $34.14 657
2020 Q1 650M $17.5B -$950M $26.96 668
2019 Q4 688M $28B -$942M $40.71 787
2019 Q3 710M $31.2B -$680M $43.89 728
2019 Q2 723M $29.9B -$3.42B $41.31 709
2019 Q1 821M $30.3B +$7.99M $36.94 717
2018 Q4 823M $24.4B -$992M $29.65 717
2018 Q3 855M $29.9B -$354M $35.00 739
2018 Q2 865M $28.9B +$689M $33.45 740
2018 Q1 851M $30B +$284M $35.24 744
2017 Q4 843M $32.1B +$279M $38.11 770
2017 Q3 825M $33.3B +$1.13B $40.29 749
2017 Q2 805M $34.9B +$521M $43.36 769
2017 Q1 795M $33.5B +$3.2B $42.12 777
2016 Q4 764M $31.5B +$1.73B $41.19 815
2016 Q3 729M $33.9B +$33.9B $46.53 785
2016 Q2 10.2K $451K -$5.53K $44.25 4
2016 Q1 13K $504K $0 $38.91 6
2015 Q4 41 $1K $0 $24.39 1