BRF S.A. - Common Shares, no par value (BRFS)

Historical Holders from Q1 2014 to Q3 2025

Symbol
BRFS
Type / Class
Equity / Common Shares, no par value
Shares outstanding
1.68B
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
1.5K
Holdings value
$5.73K
% of all portfolios
0%
Grand Portfolio weight change
0%
Number of holders
1
Number of sells
-114
Average Value change %
0%
Average sells %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of BRF S.A. - Common Shares, no par value (BRFS)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
MARFRIG GLOBAL FOODS S.A. 50.49% $3.25B 850M Marfrig Global Foods S.A. 15 May 2025

Institutional Holders of BRF S.A. - Common Shares, no par value (BRFS)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 1.5K $5.73K -$216M $3.82 1
2025 Q2 57.7M $216M -$42.5M $3.65 114
2025 Q1 69.1M $232M -$11.1M $3.44 108
2024 Q4 72.4M $289M +$33.2M $4.07 114
2024 Q3 63.8M $277M +$18.9M $4.37 114
2024 Q2 60.7M $247M +$19.7M $4.07 104
2024 Q1 56.1M $183M -$2.5M $3.26 86
2023 Q4 57.3M $159M -$82.8M $2.78 86
2023 Q3 91M $186M +$8.03M $2.05 76
2023 Q2 87.1M $166M +$2.08M $1.90 70
2023 Q1 87.8M $112M +$24.9M $1.28 75
2022 Q4 68.4M $108M -$2.34M $1.58 77
2022 Q3 67.9M $159M -$1.03M $2.34 82
2022 Q2 68M $174M +$19.8M $2.56 76
2022 Q1 61.5M $244M +$19.1M $3.97 87
2021 Q4 58.1M $238M -$126M $4.09 95
2021 Q3 62M $312M -$35.1M $5.02 91
2021 Q2 68.5M $374M -$39.2M $5.47 102
2021 Q1 76.6M $344M +$40.3M $4.49 103
2020 Q4 68.3M $287M +$12.3M $4.20 106
2020 Q3 66.3M $217M -$54.7M $3.28 103
2020 Q2 80.2M $318M -$4.43M $3.97 122
2020 Q1 83.5M $242M -$83.8M $2.90 117
2019 Q4 89.7M $781M +$32.7M $8.70 141
2019 Q3 85.6M $784M -$1.83M $9.16 136
2019 Q2 87.3M $663M -$91.5M $7.60 119
2019 Q1 101M $588M +$92.7M $5.82 109
2018 Q4 85.1M $483M +$37.6M $5.68 104
2018 Q3 78.7M $431M +$21.3M $5.48 99
2018 Q2 76.7M $361M +$96.5M $4.68 97
2018 Q1 53.9M $373M -$82.1M $6.92 104
2017 Q4 61.1M $688M -$22.3M $11.26 120
2017 Q3 62.5M $901M -$28.4M $14.41 108
2017 Q2 64.6M $761M -$6.08M $11.79 115
2017 Q1 63.9M $783M +$68.2M $12.25 111
2016 Q4 63.8M $941M +$5.11M $14.76 128
2016 Q3 63.3M $1.08B +$69.1M $17.06 130
2016 Q2 61.5M $857M -$23.2M $13.93 136
2016 Q1 61.9M $880M +$27.5M $14.22 152
2015 Q4 59.5M $822M -$76.4M $13.82 141
2015 Q3 64.8M $1.15B -$18M $17.79 144
2015 Q2 67.2M $1.41B +$28.1M $20.91 142
2015 Q1 66M $1.3B +$8.16M $19.78 145
2014 Q4 65.1M $1.52B -$9.76M $23.35 155
2014 Q3 65.7M $1.56B +$7.59M $23.79 147
2014 Q2 65.8M $1.6B +$135M $24.31 148
2014 Q1 60.3M $1.2B -$56.2M $19.98 136