LINDE PLC - SHS (LIN) Institutional Ownership

13F Institutional Holders and Ownership History from Q4 2018 to Q4 2025

Type / Class
Equity / SHS
Symbol
LIN on Nasdaq
Price per share
$426.39
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
373,190,503
Total reported value
$177,199,909,589
% of total 13F portfolios
0.09%
Share change
-10,613,927
Value change
-$4,986,270,710
Number of holders
2,068
Price from insider filings
$426.39
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 2,068 institutional investors reported holding 373,190,503 shares of LINDE PLC - SHS (LIN).

Institutional Holders of LINDE PLC - SHS (LIN) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 6,288,705 $2,687,200,169 +$548,391,154 $426.39 195
2025 Q3 373,190,503 $177,199,909,589 -$4,986,270,710 $475.00 2,068
2025 Q2 383,639,155 $179,946,500,715 +$2,034,152,554 $469.18 2,060
2025 Q1 379,141,884 $176,456,246,472 -$3,388,611,238 $465.64 2,012
2024 Q4 387,432,406 $162,225,896,456 +$1,361,353,004 $418.67 1,950
2024 Q3 378,862,959 $180,625,963,674 -$3,067,231,036 $476.86 1,875
2024 Q2 385,389,485 $169,073,401,080 +$369,378,156 $438.81 1,806
2024 Q1 384,467,860 $178,423,110,178 -$6,082,308,486 $464.32 1,811
2023 Q4 3,453,823 $1,418,517,358 -$30,155,740 $410.71 27
2023 Q3 390,920,320 $145,567,566,592 -$222,367,135 $372.35 1,578
2023 Q2 386,516,907 $147,104,902,789 -$2,078,892,901 $381.08 1,540
2023 Q1 399,585,293 $141,965,453,832 +$141,729,918,891 $355.44 1,412
2022 Q4 337,850 $110,199,912 +$108,764,956 $326.18 8
2022 Q3 3,703 $1,000,652 -$2,026,459 $269.59 5
2022 Q2 8,594 $3,046,919 +$2,428,282 $287.59 7
2022 Q1 2,151 $687,328 +$6,099 $319.48 5
2021 Q4 2,132 $738,634 -$6,238 $346.43 5
2021 Q3 2,150 $630,843 -$212,923 $293.38 5
2021 Q2 2,886 $834,380 +$193,118 $289.10 6
2021 Q1 2,218 $621,370 -$777,065 $280.14 5
2020 Q4 3,800 $1,001,428 +$119,640 $263.51 5
2020 Q3 3,346 $796,777 +$45,482 $238.13 4
2020 Q2 3,155 $669,151 +$63,622 $212.11 4
2020 Q1 2,855 $493,830 +$69,877 $173.00 4
2019 Q4 2,451 $521,856 +$852 $212.90 4
2019 Q3 2,447 $473,950 +$9,683 $193.72 4
2019 Q2 2,397 $481,392 +$30,930 $200.80 4
2019 Q1 2,243 $394,581 -$312,632 $175.93 4
2018 Q4 2,587 $403,676 +$403,676 $156.04 3