Bloomin' Brands, Inc. - Common Stock (BLMN)

Historical Holders from Q1 2014 to Q3 2025

Symbol
BLMN on Nasdaq
Type / Class
Equity / Common Stock
Shares outstanding
85.1M
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
86.2M
Holdings value
$619M
% of all portfolios
0.001%
Grand Portfolio weight change
0%
Number of holders
228
Number of buys
101
Number of sells
-124
Average Value change %
+0%
Average buys %
+0%
Average sells %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of Bloomin' Brands, Inc. - Common Stock (BLMN)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
VANGUARD GROUP INC 7.95% -27.8% $48.5M -$18.5M 6.77M -27.6% The Vanguard Group 30 Sep 2025

Institutional Holders of Bloomin' Brands, Inc. - Common Stock (BLMN)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 86.2M $619M -$27.9M $7.17 228
2025 Q2 89.6M $771M +$31.8M $8.61 226
2025 Q1 86.5M $620M -$46.9M $7.17 237
2024 Q4 89M $1.09B -$34.5M $12.21 226
2024 Q3 89.9M $1.49B +$15.3M $16.53 242
2024 Q2 89.3M $1.72B -$109M $19.23 234
2024 Q1 91.1M $2.61B -$174M $28.68 281
2023 Q4 97.5M $2.75B -$54.3M $28.15 266
2023 Q3 99.8M $2.45B -$36.4M $24.59 270
2023 Q2 101M $2.71B +$80.1M $26.89 260
2023 Q1 98.1M $2.52B +$149M $25.65 271
2022 Q4 94.2M $1.9B -$13.4M $20.12 282
2022 Q3 94.7M $1.74B +$53.5M $18.33 240
2022 Q2 91.9M $1.53B -$93.5M $16.62 258
2022 Q1 96.7M $2.12B +$9.92M $21.94 269
2021 Q4 96.4M $2.02B -$51.5M $20.98 254
2021 Q3 96.5M $2.41B -$28.8M $25.00 263
2021 Q2 97.7M $2.65B +$76.2M $27.14 248
2021 Q1 94.9M $2.57B +$191M $27.05 250
2020 Q4 90.8M $1.76B +$86.4M $19.42 227
2020 Q3 86.8M $1.33B +$86.7M $15.27 210
2020 Q2 81.7M $871M +$45.9M $10.66 206
2020 Q1 78.7M $562M -$90.1M $7.14 203
2019 Q4 83.8M $1.85B -$132M $22.07 208
2019 Q3 90M $1.7B +$35.7M $18.93 207
2019 Q2 88.1M $1.67B +$74.2M $18.91 219
2019 Q1 85.7M $1.75B +$30M $20.45 204
2018 Q4 84.5M $1.51B -$102M $17.89 195
2018 Q3 89.6M $1.77B -$47.5M $19.79 194
2018 Q2 91.9M $1.85B +$5.32M $20.10 219
2018 Q1 90.1M $2.18B -$8.34M $24.28 216
2017 Q4 91.3M $1.95B -$45.1M $21.34 202
2017 Q3 94.5M $1.66B -$56.1M $17.60 185
2017 Q2 96.9M $2.05B -$64.7M $21.23 198
2017 Q1 100M $1.97B +$81.5M $19.73 187
2016 Q4 103M $1.86B +$37.4M $18.03 202
2016 Q3 101M $1.74B -$82.2M $17.24 198
2016 Q2 106M $1.89B -$53.1M $17.87 206
2016 Q1 109M $1.84B -$24M $16.87 207
2015 Q4 111M $1.88B -$58.6M $16.89 194
2015 Q3 113M $2.06B -$73.9M $18.18 208
2015 Q2 114M $2.44B -$2.71M $21.35 216
2015 Q1 114M $2.78B -$80M $24.33 215
2014 Q4 115M $2.84B -$46.4M $24.76 182
2014 Q3 118M $2.17B -$789K $18.34 134
2014 Q2 117M $2.62B -$113M $22.43 140
2014 Q1 116M $2.8B +$37.5M $24.10 135