ALBEMARLE CORP - Common Stock (ALB)

Historical Holders from Q1 2014 to Q3 2025

Symbol
ALB on NYSE
Type / Class
Equity / Common Stock
Shares outstanding
117,306,944
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
108,099,074
Holdings value
$8,784,763,752
% of all portfolios
0.012%
Number of holders
747
Number of buys
388
Number of sells
-322
Average buys %
+0.01%
Average sells %
-0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of ALBEMARLE CORP - Common Stock (ALB)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
Capital World Investors 8.4% $716,654,894 10,096,575 Capital World Investors 30 Jun 2025
BlackRock, Inc. 8.1% $576,428,310 9,694,388 BlackRock, Inc. 31 Mar 2025
FRANKLIN RESOURCES INC 5.7% -28.8% $555,662,078 -$232,613,169 6,853,257 -29.5% Franklin Resources, Inc. 30 Sep 2025
STATE STREET CORP 4.8% $455,476,386 5,617,617 STATE STREET CORPORATION 30 Sep 2025
Capital Research Global Investors 1.8% -70% $171,202,447 -$340,235,031 2,111,525 -66.5% Capital Research Global Investors 30 Sep 2025

Institutional Holders of ALBEMARLE CORP - Common Stock (ALB)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 108,099,074 $8,784,763,752 -$284,621,754 $81.08 747
2025 Q2 112,981,314 $7,087,976,793 +$46,451,005 $62.67 688
2025 Q1 111,655,680 $8,037,671,157 -$146,093,330 $72.02 750
2024 Q4 113,366,481 $9,762,226,363 +$796,434,099 $86.08 795
2024 Q3 103,432,525 $9,812,777,990 -$555,853,528 $94.71 789
2024 Q2 108,326,322 $10,349,589,080 -$160,122,555 $95.52 827
2024 Q1 107,595,982 $14,154,728,749 -$180,215,868 $131.74 897
2023 Q4 108,747,344 $15,698,216,296 +$902,905,454 $144.48 919
2023 Q3 101,755,068 $17,297,523,778 +$126,198,468 $170.04 981
2023 Q2 100,854,808 $22,492,352,628 -$414,765,808 $223.09 1,012
2023 Q1 102,359,938 $22,596,304,926 +$682,620,754 $221.04 1,009
2022 Q4 100,604,018 $21,822,709,484 +$433,381,673 $216.86 999
2022 Q3 98,061,781 $25,943,340,123 +$681,907,357 $264.44 948
2022 Q2 95,518,086 $19,961,904,506 +$228,824,974 $208.98 870
2022 Q1 94,554,061 $20,890,201,923 +$318,414,257 $221.15 842
2021 Q4 92,968,637 $21,724,989,976 -$84,448,729 $233.77 865
2021 Q3 93,919,566 $20,556,464,831 -$402,208,644 $218.97 781
2021 Q2 95,855,322 $16,137,488,124 +$341,455,130 $168.46 701
2021 Q1 95,351,938 $13,929,534,826 +$630,455,104 $146.11 712
2020 Q4 90,745,629 $13,381,206,842 -$239,238,877 $147.52 657
2020 Q3 92,552,862 $8,259,515,314 -$306,480,977 $89.28 554
2020 Q2 96,000,338 $7,492,552,730 -$213,926,788 $77.21 546
2020 Q1 99,111,059 $5,589,800,594 +$146,066,724 $56.37 518
2019 Q4 95,805,033 $6,999,240,311 -$137,533,946 $73.04 547
2019 Q3 98,580,241 $6,853,514,756 +$87,495,098 $69.52 519
2019 Q2 97,215,813 $6,845,736,342 +$243,324,188 $70.41 553
2019 Q1 96,008,169 $7,870,219,846 -$259,863,057 $81.98 569
2018 Q4 99,368,882 $7,658,197,050 -$44,722,051 $77.07 561
2018 Q3 99,581,551 $9,934,975,142 +$721,349,672 $99.78 584
2018 Q2 94,055,406 $8,869,631,743 -$216,353,900 $94.33 550
2018 Q1 96,491,698 $8,945,396,943 -$34,128,496 $92.74 553
2017 Q4 95,900,423 $12,260,010,705 -$359,334,763 $127.89 591
2017 Q3 98,274,726 $13,390,481,982 +$728,688,558 $136.31 538
2017 Q2 93,474,107 $9,866,382,095 -$65,469,500 $105.54 530
2017 Q1 95,644,252 $10,098,944,976 +$832,239,796 $105.64 499
2016 Q4 96,086,983 $8,269,644,873 -$61,154,753 $86.08 437
2016 Q3 96,700,130 $8,252,366,934 -$282,424,623 $85.49 418
2016 Q2 100,201,898 $7,939,086,580 -$509,192,163 $79.31 400
2016 Q1 106,556,819 $6,802,839,525 -$94,516,418 $63.93 339
2015 Q4 108,237,719 $6,058,597,697 +$271,990,293 $56.01 314
2015 Q3 103,448,272 $4,557,895,519 +$456,189,863 $44.1 294
2015 Q2 96,914,869 $5,351,463,609 -$23,499,061 $55.27 326
2015 Q1 97,485,228 $5,152,753,948 +$898,253,864 $52.84 347
2014 Q4 80,413,929 $4,834,455,397 +$492,829,367 $60.13 335
2014 Q3 71,970,436 $4,239,421,357 +$459,282,150 $58.9 335
2014 Q2 63,942,797 $4,572,367,238 +$21,303,187 $71.5 303
2014 Q1 63,727,877 $4,232,479,402 -$48,526,407 $66.42 303