Koninklijke Philips NV - Common Stock - Foreign Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q3 2025

Type / Class
Equity / Common Stock - Foreign
Price per share
$27.06
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
480,070
Total reported value
$12,986,958
% of total 13F portfolios
0%
Share change
+53,597
Value change
+$1,450,782
Number of holders
2
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 2 institutional investors reported holding 480,070 shares of Koninklijke Philips NV - Common Stock - Foreign.

Institutional Holders of Koninklijke Philips NV - Common Stock - Foreign across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q3 480,070 $12,986,958 +$1,450,782 $27.06 2
2025 Q2 426,473 $10,253,276 +$10,153,405 $24.04 1
2025 Q1 4,154 $104,972 +$4,422 $25.27 1
2024 Q4 3,979 $100,568 -$1,210,616 $25.27 1
2024 Q3 40,938 $1,343,795 -$13,460 $32.79 2
2024 Q2 41,349 $1,045,320 -$185,889 $25.27 2
2024 Q1 48,702 $978,523 +$130,468 $20.08 2
2023 Q4 42,210 $983,045 +$116,716 $23.28 2
2023 Q3 37,195 $746,885 +$592,600 $20.08 1
2023 Q2 7,138 $154,285 +$821 $21.61 1
2023 Q1 7,100 $129,637 -$7,851 $18.26 1
2022 Q4 7,530 $112,879 +$112,879 $14.99 1
2021 Q1 0 $0 -$1,038,397 $27.06 0
2020 Q4 19,385 $1,038,397 $53.57 1
2020 Q3 19,385 $913,820 -$97,345 $47.14 1
2020 Q2 21,450 $1,000,282 $46.63 1
2020 Q1 21,450 $868,832 +$868,832 $40.50 1
2016 Q4 0 $0 -$19,507,000 $27.06 0
2016 Q3 657,999 $19,507,000 -$212,265 $29.65 1
2016 Q2 665,159 $16,549,000 -$242,130 $24.88 1
2016 Q1 674,891 $19,254,000 +$222,099 $28.53 1
2015 Q4 667,106 $17,073,000 -$210,883 $25.59 1
2015 Q3 675,346 $15,865,000 -$259,230 $23.49 1
2015 Q2 686,381 $17,452,000 +$5,524,458 $25.43 1
2015 Q1 469,106 $13,313,000 +$452,937 $28.38 1
2014 Q4 453,146 $13,242,000 -$141,290 $29.22 1
2014 Q3 457,981 $14,617,000 +$29,397 $31.92 1
2014 Q2 457,071 $14,503,287 -$9,353,313 $31.73 2
2014 Q1 711,837 $25,021,789 +$314,073 $35.15 3