ADYEN NV - COM Institutional Ownership

13F Institutional Holders and Ownership History from Q2 2018 to Q3 2025

Type / Class
Equity / COM
Price per share
$1603.88
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
9,755
Total reported value
$15,645,801
% of total 13F portfolios
0%
Share change
+2,885
Value change
+$4,627,179
Number of holders
1
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 1 institutional investors reported holding 9,755 shares of ADYEN NV - COM.

Institutional Holders of ADYEN NV - COM across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q3 9,755 $15,645,801 +$4,627,179 $1603.88 1
2025 Q2 6,870 $12,567,482 +$12,567,482 $1829.33 1
2024 Q3 0 $0 -$255,303 $1603.88 0
2024 Q2 214 $255,303 -$58,020,502 $1192.81 2
2024 Q1 34,496 $58,394,985 -$10,101,035 $1691.87 3
2023 Q4 40,463 $52,226,065 +$654,477 $1288.04 3
2023 Q3 39,957 $29,827,177 -$24,269,291 $746.15 3
2023 Q2 43,933 $76,036,500 +$37,425,672 $1730.34 4
2023 Q1 22,301 $35,366,966 -$1,179,987 $1582.58 3
2022 Q4 23,045 $31,801,571 -$3,294,667 $1379.24 3
2022 Q3 25,433 $32,415,000 -$7,903,055 $1275.14 3
2022 Q2 31,619 $48,913,000 -$51,392,662 $1456.17 4
2022 Q1 66,878 $133,985,000 -$71,708,329 $2004.72 5
2021 Q4 96,622 $254,005,000 -$30,559,513 $2628.57 7
2021 Q3 108,230 $303,425,000 -$39,810,697 $2797.69 7
2021 Q2 122,526 $298,887,000 -$86,657,796 $2443.53 7
2021 Q1 158,216 $353,693,000 +$52,107,906 $2236.89 6
2020 Q4 134,912 $313,962,000 +$19,757,782 $2327.14 7
2020 Q3 126,406 $232,985,000 +$29,080,886 $1843.20 5
2020 Q2 110,631 $161,000,000 -$17,412,725 $1455.04 5
2020 Q1 122,597 $104,067,000 +$14,661,778 $846.75 5
2019 Q4 105,696 $86,704,000 +$439,141 $820.55 3
2019 Q3 105,130 $69,252 -$2,708 $0.65 2
2019 Q2 109,233 $84,411,000 +$3,276 $771.91 2
2019 Q1 109,228 $85,606,000 -$3,353 $783.38 2
2018 Q4 109,231 $59,318,000 -$344,294 $543.05 1
2018 Q3 109,865 $89,709,000 +$20,028,873 $816.54 1
2018 Q2 85,336 $47,002,000 +$47,002,002 $550.79 1