Security Snapshot

Diversified Energy Co - Common Stock (DEC) Institutional Ownership

CUSIP: 25520W107

13F Institutional Holders and Ownership History from Q4 2025 to Q2 2026

Latest Period

Q1 2026

Institutions Reporting

178

Shares (Excl. Options)

49,847,929

Price

$17.44

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Latest holder snapshot 5 signals
Portfolio coverage rank
0%
Share change
-1,796,756
Value change
+$1,518,798
Number of holders
178
Issuer context Names, identifiers, and filing context for this profile. 2 identity fields
Shares outstanding
72,133,744
SEC-reported price per share
$13.94
13F Shares, Excluding Options vs Price
13F Value, Excluding Options
Total Investors

Key facts

  • DEC - Diversified Energy Co - Common Stock is tracked under CUSIP 25520W107.
  • 178 institutions reported positions in Q1 2026.
  • 1 significant owner is listed from Schedule 13D/13G reporting.

Change

  • Holder count moved from 178 to 62 between Q1 2026 and Q2 2026.
  • SEC-reported value moved from $882,193,070 to $279,263,714.

Research use

  • You can quickly see who holds this security, then open quarter and manager detail pages for full evidence.
  • 13F and Schedule 13D/13G sections are kept together so you can cross-check institutional and beneficial ownership context.

Evidence

Source: SEC Form 13F

Latest holder context comes from 178 institutions filings for Q1 2026.

Open SEC evidence

Security key

25520W107

Latest holder period

Q1 2026

13F holders

178

13D/G owners

1

CIK / CUSIP context first

13D/G owners

Significant owners

Large-stake holder rows connected to Schedule 13D/G evidence.

Rows
1
Security
DEC
Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 7.8% $77,982,348 5,626,432 BlackRock, Inc. 30 Jun 2026

As of 31 Mar 2026, 178 institutional investors reported holding 49,847,929 shares of Diversified Energy Co - Common Stock (DEC). This represents 69% of the company’s total 72,133,744 outstanding shares.

13F concentration

Top 25 institutional shareholders

Largest 13F positions for this security by reported shares and value.

Top holder share
57%
Institution Ownership % Shares Held Share Change % Portfolio % Holdings Value
Artemis Investment Management LLP 7.5% 5,444,878 +110% 1% $96,621,087
BlackRock, Inc. 6.8% 4,921,863 +43% 0% $85,837,287
AMERIPRISE FINANCIAL INC 6.3% 4,520,272 +3% 0.02% $78,833,543
JUPITER ASSET MANAGEMENT LTD 4.4% 3,168,559 -1.1% 0.31% $58,915,140
Man Group plc 2.8% 2,038,209 +7.3% 0.08% $37,897,786
BARCLAYS PLC 2.5% 1,833,481 +439% 0.01% $31,975,907
M&G PLC 2.4% 1,759,706 -8.1% 0.17% $32,484,215
Tejara Capital Ltd 2.3% 1,669,831 -17% 9.6% $29,121,853
CITADEL ADVISORS LLC 2.1% 1,531,035 +22% 0.02% $26,701,250
GEODE CAPITAL MANAGEMENT, LLC 2.1% 1,480,206 +97% 0% $25,821,599
Millstreet Capital Management LLC 1.9% 1,378,421 0% 5.8% $24,039,662
STATE STREET CORP 1.7% 1,241,356 +51% 0% $21,649,249
AMERICAN CENTURY COMPANIES INC 1.7% 1,228,281 +5.2% 0.01% $22,923,112
JANE STREET GROUP, LLC 1.3% 966,878 -32% 0.02% $16,862,352
Premier Fund Managers Ltd 1.2% 893,112 +6.5% 1.2% $16,519,000
MORGAN STANLEY 1.2% 883,465 -28% 0% $15,407,635
TWO SIGMA INVESTMENTS, LP 1.2% 866,459 +127% 0.01% $15,111,045
Aberdeen Group plc 1.1% 814,061 -15% 0.02% $14,197,224
VANGUARD CAPITAL MANAGEMENT LLC 1.1% 785,308 0% 0% $13,803,239
CHARLES SCHWAB INVESTMENT MANAGEMENT INC 1% 754,568 +67% 0% $13,302,868
MILLENNIUM MANAGEMENT LLC 0.93% 673,141 +575% 0.01% $11,739,579
Bank of New York Mellon Corp 0.86% 617,728 +4.6% 0% $10,773,171
FIRST TRUST ADVISORS LP 0.84% 604,692 0.01% $10,545,828
NORTHERN TRUST CORP 0.67% 480,175 +59% 0% $8,374,252
MARSHALL WACE, LLP 0.6% 433,768 +133% 0.01% $7,564,911

Quarter history

Institutional holders across reporting periods

Holder count, reported shares/value, and median price by quarter.

Periods
3
Latest
Q1 2026
Rows shown
1-3 of 3
Period 13F Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2026 Q2 20,166,012 $279,263,714 +$34,192,137 $13.86 62
2026 Q1 49,847,929 $882,193,070 +$1,518,798 $17.44 178
2025 Q4 52,802,992 $763,605,517 +$763,393,750 $14.48 160
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