LivaNova PLC - Common Stock (LIVN)

Historical Holders from Q3 2015 to Q3 2025

Symbol
LIVN on Nasdaq
CUSIP
G5509L101
Type / Class
Equity / Common Stock
Shares outstanding
54.5M
All holders as of June 30, 2025
Q2 2025
Total 13F shares, excl. options
54.6M
Holdings value
$2.46B
% of all portfolios
0.004%
Grand Portfolio weight change
+0%
Number of holders
253
Number of buys
144
Number of sells
-118
Average Value change %
0%
Average buys %
+0.001%
Average sells %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of LivaNova PLC - Common Stock (LIVN)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 12.7% $305M 6.92M BlackRock, Inc. Jun 30, 2025
PRIMECAP MANAGEMENT CO/CA/ 8.76% $162M 4.75M PRIMECAP MANAGEMENT CO/CA/ Dec 31, 2024
INTEGRATED CORE STRATEGIES (US) LLC 3.8% $70.5M 2.07M Millennium Management LLC Mar 31, 2025

Institutional Holders of LivaNova PLC - Common Stock (LIVN)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 4.59K $240K -$45.5K $52.38 2
2025 Q2 54.6M $2.46B +$68.7M $45.02 253
2025 Q1 53.7M $2.11B -$47.5M $39.28 246
2024 Q4 54.4M $2.52B +$40.1M $46.31 256
2024 Q3 52M $2.73B -$175M $52.54 240
2024 Q2 55.1M $3.02B -$6.98M $54.82 230
2024 Q1 55.1M $3.08B +$32.3M $55.94 227
2023 Q4 61.2K $3.16M -$393K $51.74 1
2023 Q3 53M $2.8B +$27.2M $52.88 207
2023 Q2 52.5M $2.69B -$39M $51.43 198
2023 Q1 53.5M $2.33B -$100M $43.58 207
2022 Q4 55M $3.06B -$15.3M $55.54 215
2022 Q3 54.4M $2.76B +$33.4M $50.77 194
2022 Q2 53.5M $3.34B +$86.1M $62.47 208
2022 Q1 52.2M $4.27B +$84M $81.83 223
2021 Q4 50.8M $4.44B -$3.89M $87.43 210
2021 Q3 51.3M $4.06B +$379M $79.19 207
2021 Q2 46.3M $3.89B +$67M $84.11 205
2021 Q1 45.8M $3.38B +$40.8M $73.73 198
2020 Q4 45.2M $2.99B +$102M $66.21 191
2020 Q3 44M $1.99B -$35.7M $45.21 171
2020 Q2 45M $2.19B +$111M $48.13 172
2020 Q1 41.6M $1.88B -$82.4M $45.25 176
2019 Q4 44M $3.32B +$77.1M $75.43 205
2019 Q3 42.2M $3.11B +$27.9M $73.79 192
2019 Q2 41.8M $3.01B +$335M $71.96 200
2019 Q1 42M $4.08B -$102M $97.25 222
2018 Q4 41.4M $3.79B -$95.1M $91.47 236
2018 Q3 42.8M $5.3B +$102M $123.97 265
2018 Q2 42.6M $4.26B +$138M $99.82 227
2018 Q1 41.8M $3.7B +$107M $88.50 220
2017 Q4 41.2M $3.29B -$2.57M $79.92 211
2017 Q3 41.4M $2.9B +$103M $70.06 184
2017 Q2 39.7M $2.43B +$320M $61.21 172
2017 Q1 35.1M $1.72B +$231M $49.01 150
2016 Q4 33.3M $1.5B +$41.5M $44.97 159
2016 Q3 31.2M $1.87B +$13.1M $60.11 160
2016 Q2 31.6M $1.59B -$61.5M $50.23 176
2016 Q1 32.6M $1.76B -$72.9M $53.98 184
2015 Q4 34M $2.03B +$2.02B $59.37 178
2015 Q3 15.1K $917K +$917K $60.73 1