ARROW ELECTRONICS, INC. - Common Stock, $1 par value (ARW)

Historical Holders from Q1 2014 to Q3 2025

Symbol
ARW on NYSE
CUSIP
042735100
Type / Class
Equity / Common Stock, $1 par value
Shares outstanding
51.5M
All holders as of September 30, 2025
Q3 2025
Total 13F shares, excl. options
54.9M
Holdings value
$6.64B
% of all portfolios
0.012%
Grand Portfolio weight change
0%
Number of holders
480
Number of buys
224
Number of sells
-237
Average Value change %
+0%
Average buys %
+0.001%
Average sells %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of ARROW ELECTRONICS, INC. - Common Stock, $1 par value (ARW)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 9.1% $510M 4.73M BlackRock, Inc. Mar 31, 2025
AQR CAPITAL MANAGEMENT LLC 6.19% $385M 3.19M AQR Capital Management, LLC Sep 30, 2025
Boston Partners 5.12% $351M 2.65M Boston Partners Jun 30, 2025
ACR Alpine Capital Research, LLC 5.1% $319M 2.63M ACR Alpine Capital Research, LLC Oct 17, 2025

Institutional Holders of ARROW ELECTRONICS, INC. - Common Stock, $1 par value (ARW)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 54.9M $6.64B -$39.3M $121.00 480
2025 Q2 55.2M $7.03B +$169M $127.43 493
2025 Q1 54M $5.61B -$31.4M $103.83 452
2024 Q4 54.3M $6.14B +$124M $113.12 457
2024 Q3 52.9M $7.02B -$49.2M $132.83 458
2024 Q2 53.7M $6.48B +$180M $120.76 452
2024 Q1 52.3M $6.76B -$192M $129.46 460
2023 Q4 53.2M $6.5B +$144M $122.25 484
2023 Q3 51.8M $6.48B -$225M $125.24 446
2023 Q2 53.4M $7.64B -$151M $143.23 467
2023 Q1 54.4M $6.78B -$363M $124.87 462
2022 Q4 57.6M $6.01B -$203M $104.57 449
2022 Q3 59.5M $5.49B -$187M $92.19 427
2022 Q2 60.9M $6.82B -$81.4M $112.09 440
2022 Q1 62.5M $7.42B -$207M $118.63 449
2021 Q4 64.3M $8.62B -$298M $134.27 439
2021 Q3 66.4M $7.46B -$203M $112.29 409
2021 Q2 68.2M $7.76B -$257M $113.83 426
2021 Q1 70.4M $7.8B +$29.4M $110.82 395
2020 Q4 70.5M $6.86B -$133M $97.30 390
2020 Q3 71.9M $5.66B -$126M $78.66 355
2020 Q2 73.6M $5.05B +$2.59M $68.69 336
2020 Q1 73.6M $3.82B -$143M $51.87 313
2019 Q4 75.6M $6.41B -$75.5M $84.74 379
2019 Q3 76.3M $5.69B -$197M $74.58 335
2019 Q2 78.9M $5.62B -$5.44M $71.27 339
2019 Q1 79.3M $6.11B -$80.2M $77.06 377
2018 Q4 80.3M $5.53B -$61.5M $68.95 352
2018 Q3 81.1M $5.98B +$9.89M $73.72 363
2018 Q2 81M $6.1B -$61.7M $75.28 363
2018 Q1 81.9M $6.3B -$25.1M $77.02 387
2017 Q4 82.3M $6.61B -$22.3M $80.41 390
2017 Q3 82.4M $6.62B -$56.6M $80.41 366
2017 Q2 83M $6.51B -$56.4M $78.42 349
2017 Q1 84M $6.17B +$608M $73.41 361
2016 Q4 83.5M $5.95B -$187M $71.30 365
2016 Q3 86M $5.5B -$41.6M $63.97 339
2016 Q2 86.3M $5.34B +$35.7M $61.90 371
2016 Q1 85.7M $5.52B +$83.1M $64.41 356
2015 Q4 84.5M $4.58B -$219M $54.18 323
2015 Q3 88.6M $4.89B +$12.6M $55.28 335
2015 Q2 88.6M $4.95B -$119M $55.80 309
2015 Q1 86.7M $5.3B +$18.4M $61.15 321
2014 Q4 90.5M $5.24B -$182M $57.89 333
2014 Q3 94.1M $5.21B -$44.2M $55.35 318
2014 Q2 94.9M $5.73B -$70.4M $60.41 311
2014 Q1 96.2M $5.71B -$4.14M $59.36 305