ASPEN TECHNOLOGY INC - COMMON STOCK (AZPN)

Historical Holders from Q1 2014 to Q3 2025

Type / Class
Equity / COMMON STOCK
Symbol
AZPN on Nasdaq
Price per share
$200.00
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
1
Total reported value
$200
Share change
0
Number of holders
1
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of ASPEN TECHNOLOGY INC - COMMON STOCK (AZPN) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q3 1 $200 20,000% 1
2025 Q2 1 $200 20,000% 1
2025 Q1 1 $200 -$4,493 20,000% 1
2024 Q4 19 $4,693 22,480.56% 2
2024 Q3 19 $4,499 21,941.67% 2
2024 Q2 19 $3,775 -$18,129 19,930.56% 2
2024 Q1 104 $22,168 21,327.78% 3
2023 Q4 104 $22,876 22,015.29% 3
2023 Q3 19 $3,871 -$3,352 19,913.89% 2
2023 Q2 39 $6,535 -$23,648 16,760% 3
2023 Q1 135 $31,286 -$99,621 22,888.89% 3
2022 Q4 563 $81,863 -$6,555 16,600% 3
2022 Q3 656 $148,000 -$120,131,683 22,981.61% 4
2022 Q2 618,681 $113,639,208 -$10,623,185,103 18,368% 9
2022 Q1 65,268,751 $10,786,685,020 +$115,953,197 16,536.96% 372
2021 Q4 64,614,246 $9,833,257,289 -$405,459,200 15,219.99% 376
2021 Q3 67,275,693 $8,267,398,242 -$285,295,757 12,280% 340
2021 Q2 69,458,816 $9,551,759,596 +$766,318,216 13,754.02% 356
2021 Q1 67,055,637 $9,677,197,351 +$24,846,191 14,433% 370
2020 Q4 66,918,125 $8,715,789,777 +$113,125,323 13,025.01% 349
2020 Q3 65,946,326 $8,348,359,895 -$120,077,623 12,658.99% 320
2020 Q2 72,819,220 $7,510,730,977 -$56,584,857 10,360.97% 312
2020 Q1 67,564,726 $6,423,917,450 +$176,741,403 9,506.97% 289
2019 Q4 65,256,337 $7,897,484,798 -$211,004,911 12,092.97% 356
2019 Q3 66,969,347 $8,241,778,089 -$44,604,244 12,307.97% 347
2019 Q2 67,330,420 $8,365,166,447 -$108,060,626 12,428% 341
2019 Q1 68,636,098 $7,155,043,500 +$59,233,280 10,425.99% 313
2018 Q4 68,139,500 $5,595,287,142 -$140,711,432 8,217.9% 288
2018 Q3 69,493,999 $7,910,557,404 -$102,907,252 11,391% 324
2018 Q2 70,421,619 $6,528,071,024 -$206,192,764 9,274% 296
2018 Q1 72,699,319 $5,730,265,008 +$23,577,404 7,889% 274
2017 Q4 72,793,336 $4,813,256,376 -$106,340,230 6,619.98% 275
2017 Q3 74,513,204 $4,679,752,775 -$39,112,703 6,280.96% 258
2017 Q2 75,238,648 $4,167,007,724 -$100,652,533 5,525.99% 248
2017 Q1 77,784,851 $4,582,961,519 +$211,324,390 5,891.99% 256
2016 Q4 79,639,450 $4,354,871,373 -$252,577,675 5,468.01% 243
2016 Q3 84,547,010 $3,953,285,790 -$170,044,076 4,679% 229
2016 Q2 88,436,612 $3,561,542,919 -$107,262,487 4,024% 223
2016 Q1 91,344,056 $3,298,063,198 -$757,830 3,612.96% 238
2015 Q4 91,236,337 $3,445,246,308 -$22,344,421 3,775.99% 250
2015 Q3 91,841,962 $3,484,424,306 +$123,468,237 3,790.98% 235
2015 Q2 88,383,927 $4,025,758,717 -$74,353,175 4,554.99% 250
2015 Q1 90,140,707 $3,468,174,863 +$20,335,125 3,848.98% 243
2014 Q4 89,850,112 $3,146,274,272 -$101,669,523 3,501.99% 241
2014 Q3 92,440,754 $3,487,097,429 -$36,843,340 3,771.99% 256
2014 Q2 93,109,660 $4,318,346,728 +$95,175,267 4,640% 255
2014 Q1 91,441,515 $3,868,858,579 +$33,333,158 4,235.99% 256