DISCOVERY COMMUNICATIONS - COMMON STOCK (DISCK) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q3 2025

Type / Class
Equity / COMMON STOCK
Symbol
DISCK
Price per share
$24.00
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
1
Total reported value
$24
Share change
0
Number of holders
1
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 1 institutional investors reported holding 1 shares of DISCOVERY COMMUNICATIONS - COMMON STOCK (DISCK).

Institutional Holders of DISCOVERY COMMUNICATIONS - COMMON STOCK (DISCK) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q3 1 $24 $24.00 1
2025 Q2 1 $24 -$27,480 $24.00 1
2025 Q1 27,481 $27,504 $12.50 2
2024 Q4 27,481 $27,504 $12.50 2
2024 Q3 27,481 $27,504 $12.50 2
2024 Q2 27,481 $27,504 $12.50 2
2024 Q1 27,481 $27,504 $12.50 2
2023 Q4 27,481 $27,504 $12.50 2
2023 Q3 27,481 $27,504 $12.50 2
2023 Q2 27,481 $27,504 $12.50 2
2023 Q1 27,481 $27,504 $12.50 2
2022 Q4 66,466 $1,000,504 +$973,024 $24.00 3
2022 Q3 38,804 $264,000 -$18,985,000 $10.96 2
2022 Q2 958,480 $14,340,000 -$6,904,724,209 $13.54 5
2022 Q1 281,701,617 $7,031,651,180 -$82,133,646 $24.97 476
2021 Q4 284,542,105 $6,519,619,893 +$146,422,419 $22.90 477
2021 Q3 278,575,735 $6,757,586,679 -$30,951,035 $24.27 484
2021 Q2 278,884,855 $8,074,102,399 -$522,166,980 $28.98 502
2021 Q1 294,557,751 $10,859,142,404 +$1,127,003,279 $36.89 493
2020 Q4 267,079,539 $6,992,468,725 -$294,503,508 $26.19 461
2020 Q3 278,016,998 $5,444,073,336 -$177,095,742 $19.60 450
2020 Q2 286,619,656 $5,513,359,717 +$92,786,474 $19.26 441
2020 Q1 281,418,564 $4,936,298,374 -$325,380,413 $17.54 451
2019 Q4 295,382,972 $8,998,198,362 -$122,208,874 $30.49 513
2019 Q3 301,707,785 $7,424,139,181 -$301,175,244 $24.62 485
2019 Q2 313,666,043 $8,906,859,595 +$318,833,910 $28.45 495
2019 Q1 305,354,528 $7,761,235,980 -$143,687,731 $25.42 490
2018 Q4 311,157,632 $7,173,992,892 +$143,397,469 $23.08 492
2018 Q3 298,373,127 $8,825,290,564 +$90,382,216 $29.58 486
2018 Q2 292,173,250 $7,452,535,923 +$375,028,569 $25.50 469
2018 Q1 285,064,801 $5,566,466,994 +$1,680,441,088 $19.52 497
2017 Q4 198,202,361 $4,195,876,993 +$367,231,688 $21.17 404
2017 Q3 183,773,086 $3,723,004,378 +$165,657,524 $20.26 376
2017 Q2 172,563,003 $4,350,098,655 -$309,699,307 $25.21 387
2017 Q1 184,524,962 $5,219,849,452 +$328,324,764 $28.31 405
2016 Q4 187,891,373 $5,030,508,469 -$102,151,698 $26.78 419
2016 Q3 191,906,510 $5,048,664,834 -$245,913,259 $26.31 405
2016 Q2 200,228,342 $4,776,172,187 -$181,551,241 $23.85 424
2016 Q1 207,640,735 $5,604,361,050 -$196,784,002 $27.00 423
2015 Q4 215,105,212 $5,450,001,916 -$350,818,248 $25.22 425
2015 Q3 228,341,075 $5,546,390,397 +$128,198,110 $24.29 409
2015 Q2 222,292,958 $6,907,859,203 -$220,536,714 $31.08 453
2015 Q1 229,114,069 $6,753,121,778 -$442,115,319 $29.48 450
2014 Q4 243,349,909 $8,201,763,447 -$304,214,159 $33.72 474
2014 Q3 250,457,637 $9,331,355,928 +$7,182,008,983 $37.28 478
2014 Q2 56,893,732 $4,131,629,617 -$483,962,228 $72.59 273
2014 Q1 63,512,958 $4,892,646,524 -$277,446,903 $77.06 269