Komatsu Ltd - Common Stock - Foreign

Historical Holders from Q1 2014 to Q3 2025

Type / Class
Equity / Common Stock - Foreign
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
428,024
Holdings value
$14,934,604
% of all portfolios
0%
Number of holders
1
Number of buys
1
Average buys %
+0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of Komatsu Ltd - Common Stock - Foreign

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 428,024 $14,934,604 +$338,976 $34.89 1
2025 Q2 418,309 $13,760,145 -$1,574,307 $32.89 1
2025 Q1 466,168 $13,383,022 +$385,901 $28.71 1
2024 Q4 452,726 $12,516,178 +$2,403,621 $27.65 1
2024 Q3 365,784 $10,093,577 +$264,547 $27.59 1
2024 Q2 356,197 $10,341,203 +$1,930,152 $29.03 1
2024 Q1 289,714 $8,541,377 +$179,015 $29.48 1
2023 Q4 283,642 $7,418,948 +$7,418,948 $26.16 1
2023 Q3 0 $0 -$215,762 0
2023 Q2 8,022 $215,762 +$13,072 $26.9 1
2023 Q1 7,536 $185,995 +$5,997 $24.68 1
2022 Q4 7,293 $159,819 +$159,819 $21.91 1
2021 Q1 0 $0 -$875,992 0
2020 Q4 32,100 $875,992 $27.29 1
2020 Q3 32,100 $702,653 -$87,558 $21.89 1
2020 Q2 36,100 $737,325 $20.42 1
2020 Q1 36,100 $594,728 +$115,321 $16.47 1
2019 Q4 29,100 $707,451 $24.31 1
2019 Q3 29,100 $666,412 $22.9 1
2019 Q2 29,100 $702,246 $24.13 1
2019 Q1 29,100 $675,806 +$67,348 $23.22 1
2018 Q4 26,200 $564,883 $21.56 1
2018 Q3 26,200 $797,176 $30.43 1
2018 Q2 26,200 $749,349 $28.6 1
2018 Q1 26,200 $873,826 $33.35 1
2017 Q4 26,200 $948,456 $36.2 1
2017 Q3 26,200 $745,047 $28.44 1
2017 Q2 26,200 $665,610 $25.4 1
2017 Q1 26,200 $682,216 +$604,100 $26.04 1
2016 Q4 3,000 $68,097 -$211 $22.7 1
2016 Q3 12,300 $68,201 +$211 $11.34 2
2016 Q2 3,000 $51,745 $17.25 1
2016 Q1 3,000 $51,141 $17.05 1
2015 Q4 3,000 $49,678 +$3,312 $16.56 1
2015 Q3 2,800 $40,972 $14.63 1
2015 Q2 2,800 $56,222 $20.08 1
2015 Q1 2,800 $55,159 -$424,820 $19.7 1
2014 Q4 21,860 $489,113 +$413,000 $22.38 2
2014 Q3 3,400 $78,619 -$459,688 $23.12 1
2014 Q2 23,200 $538,616 -$24,377 $23.22 2
2014 Q1 24,250 $503,509 +$37,063 $20.76 2