STERIS PLC SHS USD - COM (STE) Institutional Ownership

13F Institutional Holders and Ownership History from Q3 2015 to Q3 2025

Type / Class
Equity / COM
Symbol
STE on NYSE
Price per share
$247.44
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
463,089
Total reported value
$114,587,000
% of total 13F portfolios
0%
Share change
+5,183
Value change
+$1,282,485
Number of holders
1
Price from insider filings
$247.44
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 1 institutional investors reported holding 463,089 shares of STERIS PLC SHS USD - COM (STE).

Institutional Holders of STERIS PLC SHS USD - COM (STE) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q3 463,089 $114,587,000 +$1,282,485 $247.44 1
2025 Q2 457,906 $109,998,000 +$1,688,984 $240.22 1
2025 Q1 450,875 $102,191,000 +$486,845 $226.65 1
2024 Q4 448,727 $92,240,000 +$17,114,251 $205.56 1
2024 Q3 365,470 $88,641,000 +$586,218 $242.54 1
2024 Q2 363,053 $79,705,000 +$14,915,828 $219.54 1
2024 Q1 295,112 $66,347,000 +$1,383,091 $224.82 1
2023 Q4 288,960 $63,528,000 +$15,451,753 $219.85 1
2023 Q3 218,677 $47,982,107 +$3,049,719 $219.42 1
2023 Q2 204,778 $46,071,000 +$1,082,380 $224.98 1
2023 Q1 199,967 $38,250,000 +$3,182,352 $191.28 1
2022 Q4 183,330 $33,859,000 +$2,567,359 $184.69 1
2022 Q3 169,429 $28,173,000 +$28,172,993 $166.28 1
2020 Q2 0 $0 -$358,000 $247.44 0
2020 Q1 2,561 $358,000 -$7,379,001 $138.43 2
2019 Q4 50,766 $7,737,000 -$5,835,015 $152.31 2
2019 Q3 4,295 $459,000 -$1,131,000 $115.88 2
2019 Q2 105,590 $15,721,000 -$4,479,648 $149.03 6
2019 Q1 142,476 $18,208,000 -$7,872,541,887 $128.00 9
2018 Q4 73,893,742 $7,896,411,368 -$44,073,920 $106.85 399
2018 Q3 73,999,255 $8,464,873,123 -$27,888,769 $114.40 375
2018 Q2 75,202,811 $7,897,397,233 -$55,624,977 $105.01 354
2018 Q1 76,823,259 $7,171,909,706 +$106,200,387 $93.36 332
2017 Q4 75,639,773 $6,615,806,875 -$81,802,090 $87.47 323
2017 Q3 76,454,618 $6,758,651,245 -$259,684,608 $88.40 298
2017 Q2 79,378,467 $6,469,567,558 +$1,007,842,848 $81.50 280
2017 Q1 76,886,641 $5,340,814,850 +$310,208,827 $69.46 281
2016 Q4 77,547,810 $5,225,850,174 -$16,682,396 $67.39 288
2016 Q3 77,129,573 $5,635,773,131 -$39,287,790 $73.10 278
2016 Q2 78,490,997 $5,396,737,000 -$239,499,361 $68.75 293
2016 Q1 82,414,601 $5,856,952,257 +$383,693,225 $71.05 276
2015 Q4 76,596,386 $5,770,750,762 +$5,467,443,136 $75.34 291
2015 Q3 3,949,700 $256,613,000 +$256,613,005 $64.97 17