ECOLAB INC. - COM (ECL) Institutional Ownership

CUSIP: 278865100

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2025

Type / Class
Equity / COM
Symbol
ECL on NYSE
Price per share
$302.59
All holders as of 31 Dec 2025
Q4 2025
Total 13F shares
226,961,148
Total reported value
$59,581,686,859
% of total 13F portfolios
0.04%
Share change
+4,949,310
Value change
+$1,302,008,841
Number of holders
1,647
Price from insider filings
$302.59
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Investment Quick Answers

What is CUSIP 278865100?
CUSIP 278865100 identifies ECL - ECOLAB INC. - COM in SEC 13F datasets.

Where can I see the latest institutional holders?
Review the Q4 2025 holders report and the ownership history table below.

As of 31 Dec 2025, 1,647 institutional investors reported holding 226,961,148 shares of ECOLAB INC. - COM (ECL).

Institutional Holders of ECOLAB INC. - COM (ECL) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 226,961,148 $59,581,686,859 +$1,302,008,841 $262.52 1,647
2025 Q3 221,553,600 $60,647,272,242 -$1,183,532,040 $273.86 1,603
2025 Q2 225,327,968 $60,673,090,292 +$1,214,370,577 $269.44 1,604
2025 Q1 221,213,738 $56,040,450,537 -$81,522,540 $253.52 1,594
2024 Q4 221,516,504 $51,910,702,451 +$823,419,548 $234.32 1,544
2024 Q3 216,289,992 $55,201,946,301 -$436,997,778 $255.33 1,488
2024 Q2 217,452,713 $51,761,532,905 +$169,433,024 $238.00 1,448
2024 Q1 217,211,727 $50,133,169,703 +$263,394,857 $230.90 1,411
2023 Q4 216,175,863 $42,876,450,512 +$1,679,322 $198.35 1,354
2023 Q3 215,556,634 $36,513,047,650 +$116,907,675 $169.40 1,255
2023 Q2 214,843,325 $40,035,551,706 -$23,929,121 $186.69 1,271
2023 Q1 214,825,349 $35,548,193,738 +$217,810,660 $165.53 1,235
2022 Q4 213,039,670 $31,021,750,348 -$117,069,812 $145.56 1,208
2022 Q3 215,847,435 $31,196,336,435 +$111,336,195 $144.42 1,189
2022 Q2 214,454,954 $32,974,594,201 +$12,495,549 $153.76 1,200
2022 Q1 215,810,920 $38,117,714,110 -$199,189,519 $176.56 1,267
2021 Q4 216,370,854 $50,719,826,660 +$509,029,610 $234.59 1,370
2021 Q3 214,073,653 $44,680,941,237 +$768,661,872 $208.62 1,271
2021 Q2 209,743,153 $43,197,554,273 -$396,127,115 $205.97 1,319
2021 Q1 211,217,154 $45,196,851,807 -$10,663,981 $214.07 1,306
2020 Q4 211,990,411 $45,834,772,297 -$217,538,825 $216.36 1,311
2020 Q3 212,280,606 $42,403,847,860 -$397,952,216 $199.84 1,231
2020 Q2 213,830,314 $42,566,536,998 -$446,904,638 $198.95 1,231
2020 Q1 216,284,167 $33,721,614,714 -$297,851,331 $155.83 1,151
2019 Q4 217,799,325 $42,002,340,148 -$58,914,369 $192.99 1,232
2019 Q3 217,870,013 $43,141,823,137 -$644,453,297 $198.04 1,170
2019 Q2 220,652,482 $43,538,741,786 +$830,227,102 $197.44 1,129
2019 Q1 219,125,759 $38,675,471,743 -$168,483,323 $176.54 1,125
2018 Q4 220,136,991 $32,414,323,470 -$194,789,583 $147.35 1,078
2018 Q3 221,036,855 $34,633,072,604 -$107,560,710 $156.78 1,016
2018 Q2 221,755,519 $31,111,084,886 -$147,326,419 $140.33 1,001
2018 Q1 223,106,825 $30,570,643,614 -$504,460,484 $137.07 970
2017 Q4 226,537,710 $30,386,577,566 +$325,358,479 $134.18 980
2017 Q3 223,816,806 $28,788,042,831 +$500,495,880 $128.61 900
2017 Q2 220,785,083 $29,303,714,764 -$22,754,887 $132.75 882
2017 Q1 221,625,237 $27,776,596,164 +$1,944,197,158 $125.34 878
2016 Q4 220,653,914 $25,864,166,410 -$62,302,199 $117.22 878
2016 Q3 219,866,044 $26,735,883,120 -$101,292,451 $121.72 832
2016 Q2 221,163,387 $26,220,221,950 -$448,175,749 $118.60 848
2016 Q1 224,637,772 $25,032,661,080 -$406,877,959 $111.52 826
2015 Q4 228,845,375 $26,174,312,446 -$306,686,455 $114.38 825
2015 Q3 229,673,088 $25,197,372,511 +$350,027,330 $109.72 797
2015 Q2 226,681,106 $25,627,578,129 -$166,105,172 $113.07 785
2015 Q1 228,277,903 $26,101,849,022 +$269,246,394 $114.38 782
2014 Q4 226,415,140 $23,664,752,056 -$131,292,631 $104.52 800
2014 Q3 225,934,854 $25,944,114,518 +$256,588,126 $114.83 741
2014 Q2 223,715,387 $24,906,951,422 -$278,946,158 $111.34 739
2014 Q1 226,437,622 $24,446,377,605 -$33,369,233 $107.99 716