COLUMBIA DIVIDEND INCOME INST3 - CDDYX

Historical Holders from Q3 2017 to Q3 2025

Type / Class
Equity / CDDYX
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
54,999
Holdings value
$2,070,207
% of all portfolios
0%
Number of holders
3
Number of buys
2
Number of sells
2
Average buys %
+0%
Average sells %
-0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025 COLUMBIA DIVIDEND INCOME INST3 - CDDYX has 3 institutional shareholders that have filed 13F forms with the Securities Exchange Commission (SEC). These institutions hold a total of 54,999 shares of the company stock as of 30 Sep 2025.

Institutional Holders of COLUMBIA DIVIDEND INCOME INST3 - CDDYX across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q3 54,999 $2,070,207 +$978,149 $37.64 3
2025 Q2 29,033 $1,034,176 +$3,376 $35.61 2
2025 Q1 28,938 $996,933 -$2,480 $34.45 1
2024 Q4 29,010 $978,520 +$90,735 $33.73 1
2024 Q3 26,320 $939,914 +$56,635 $35.71 1
2024 Q2 24,737 $820,284 +$1,956 $32.94 2
2024 Q1 24,678 $826,506 -$524 $33.67 2
2023 Q4 24,694 $766,259 +$256,837 $31.03 1
2023 Q3 28,758 $850,292 -$380,040 $29.57 2
2023 Q2 41,281 $1,253,444 +$508,553 $30.36 3
2023 Q1 24,531 $718,601 -$10,896 $29.29 2
2022 Q4 24,903 $734,000 +$8,367 $29.47 2
2022 Q3 24,619 $654,000 -$228,731 $26.56 2
2022 Q2 33,236 $936,000 +$2,732 $28.16 2
2022 Q1 33,139 $1,035,000 +$2,937 $31.23 2
2021 Q4 33,045 $1,065,000 +$11,924 $32.23 2
2021 Q3 32,675 $968,000 -$27,125 $29.63 2
2021 Q2 33,590 $1,010,000 +$596,000 $30.07 2
2021 Q1 13,755 $392,000 $28.50 1
2020 Q4 13,755 $362,000 +$362,000 $26.32 1
2020 Q1 0 $0 -$223,000 0
2019 Q4 8,966 $223,000 -$5,248 $24.87 1
2019 Q3 9,177 $218,000 -$22,949 $23.76 1
2019 Q2 10,145 $235,000 -$17,139 $23.40 2
2019 Q1 10,896 $243,000 +$22 $22.30 1
2018 Q4 10,895 $218,000 -$37,497 $20.01 1
2018 Q3 12,769 $299,000 +$299,000 $23.42 1
2018 Q2 0 $0 -$205,000 0
2018 Q1 9,393 $205,000 -$2,401 $21.82 1
2017 Q4 9,503 $213,000 -$77,552 $22.41 1
2017 Q3 12,963 $280,000 +$280,000 $21.60 1