Brookfield Renewable - COM (BEPC) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2019 to Q4 2025

Type / Class
Equity / COM
Symbol
BEPC on NYSE
Price per share
$38.34
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
419,436
Total reported value
$14,438,778
% of total 13F portfolios
0%
Share change
-4,393
Value change
-$153,961
Number of holders
5
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 5 institutional investors reported holding 419,436 shares of Brookfield Renewable - COM (BEPC).

Institutional Holders of Brookfield Renewable - COM (BEPC) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 281,870 $10,806,821 -$4,475,616 $38.34 2
2025 Q3 419,436 $14,438,778 -$153,961 $34.42 5
2025 Q2 423,829 $13,892,329 -$86,494 $32.78 5
2025 Q1 427,016 $11,921,746 -$3,901,295 $27.92 6
2024 Q4 595,550 $15,726,874 -$4,177,158,496 $27.66 14
2024 Q3 129,072,219 $4,212,570,489 +$1,046,916,877 $32.66 361
2024 Q2 97,593,908 $2,771,921,078 -$843,091,529 $28.38 354
2024 Q1 126,303,962 $3,102,148,392 -$31,103,279 $24.57 357
2023 Q4 127,525,096 $3,674,271,435 +$163,303,451 $28.79 353
2023 Q3 122,131,854 $2,929,382,638 +$25,411,309 $23.94 329
2023 Q2 120,744,812 $3,807,037,846 +$111,990,652 $31.52 343
2023 Q1 116,870,985 $4,082,745,201 -$51,616,853 $34.95 340
2022 Q4 115,515,576 $3,183,468,885 -$27,725,354 $27.54 353
2022 Q3 119,136,151 $3,891,021,761 -$36,865,327 $32.68 338
2022 Q2 120,129,195 $4,278,993,977 +$11,423,595 $35.61 328
2022 Q1 120,269,484 $5,252,660,725 +$136,445,077 $43.80 340
2021 Q4 117,237,359 $4,314,188,923 -$42,469,067 $36.83 332
2021 Q3 114,321,298 $4,428,762,848 -$114,209,817 $38.81 301
2021 Q2 116,884,366 $4,894,675,739 -$153,650,405 $41.94 316
2021 Q1 120,405,430 $5,622,771,183 -$282,294,602 $46.80 312
2020 Q4 124,064,142 $7,228,787,687 +$2,235,125,122 $58.27 310
2020 Q3 88,937,511 $4,935,359,872 +$4,935,343,841 $58.60 258
2020 Q2 904 $38,000 $42.04 1
2020 Q1 904 $38,000 $42.04 1
2019 Q4 904 $38,000 $42.04 1
2019 Q3 904 $38,000 $42.04 1
2019 Q2 904 $38,000 $42.04 1
2019 Q1 904 $38,000 $42.04 1