ELECTRONIC ARTS INC. - Common Stock, par value $0.01 per share (EA)

Historical Holders from Q1 2014 to Q3 2025

Symbol
EA on Nasdaq
Type / Class
Equity / Common Stock, par value $0.01 per share
Shares outstanding
250,585,172
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
238,342,900
Holdings value
$48,031,965,778
% of all portfolios
0.031%
Number of holders
1,065
Number of buys
518
Number of sells
-460
Average buys %
+0.02%
Average sells %
-0.01%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of ELECTRONIC ARTS INC. - Common Stock, par value $0.01 per share (EA)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
PUBLIC INVESTMENT FUND 9.9% $4,281,849,063 24,807,932 PUBLIC INVESTMENT FUND 25 Sep 2025
BlackRock, Inc. 8.6% -24.5% $3,281,423,739 -$1,067,913,711 22,383,518 -24.6% BlackRock, Inc. 31 Mar 2025
STATE STREET CORP 6.8% $2,538,810,974 17,074,524 STATE STREET CORPORATION 30 Jun 2025

Institutional Holders of ELECTRONIC ARTS INC. - Common Stock, par value $0.01 per share (EA)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 238,342,900 $48,031,965,778 -$1,018,607,759 $201.7 1,065
2025 Q2 244,748,976 $39,065,977,984 +$586,068,738 $159.7 990
2025 Q1 241,703,643 $34,924,928,268 -$1,289,065,198 $144.52 955
2024 Q4 250,198,120 $36,603,135,401 +$752,401,026 $146.3 1,017
2024 Q3 244,045,303 $35,015,529,335 -$280,065,352 $143.44 966
2024 Q2 245,711,575 $34,231,818,741 -$632,942,665 $139.33 931
2024 Q1 250,857,926 $33,234,148,389 +$1,154,840,853 $132.67 977
2023 Q4 241,766,846 $33,070,944,262 +$272,058,506 $136.81 975
2023 Q3 239,309,339 $28,874,450,012 -$1,071,474,261 $120.4 894
2023 Q2 247,699,558 $32,105,745,437 +$232,951,354 $129.7 913
2023 Q1 245,697,244 $29,617,584,137 -$281,337,576 $120.45 907
2022 Q4 248,365,481 $30,368,497,418 -$11,005,744 $122.18 952
2022 Q3 249,587,081 $28,923,899,218 -$32,808,263 $115.71 912
2022 Q2 248,962,225 $30,287,318,246 +$408,643,033 $121.65 943
2022 Q1 247,632,639 $31,300,143,743 -$506,143,520 $126.51 963
2021 Q4 251,764,412 $33,196,944,831 -$486,664,038 $131.9 957
2021 Q3 254,488,834 $36,174,951,320 -$94,687,060 $142.25 936
2021 Q2 255,144,331 $36,670,172,216 +$138,328,536 $143.83 961
2021 Q1 256,383,014 $34,696,835,142 -$1,002,043,385 $135.37 926
2020 Q4 264,635,730 $37,971,552,180 +$774,558,361 $143.6 941
2020 Q3 258,993,078 $33,766,099,114 +$261,108,714 $130.41 934
2020 Q2 266,792,592 $35,072,485,650 +$58,884,309 $132.05 905
2020 Q1 256,928,695 $25,752,532,115 -$405,357,917 $100.17 839
2019 Q4 260,517,518 $28,008,850,446 -$687,166,818 $107.51 829
2019 Q3 266,850,568 $26,102,211,522 -$761,642,114 $97.82 762
2019 Q2 274,736,293 $27,798,761,813 -$90,123,541 $101.26 753
2019 Q1 281,038,302 $28,560,254,698 +$406,458,562 $101.63 778
2018 Q4 278,262,049 $21,959,869,033 -$2,021,255,508 $78.91 739
2018 Q3 289,607,339 $34,883,206,334 -$26,947,317 $120.49 773
2018 Q2 287,710,452 $40,567,857,491 -$239,977,088 $141.02 779
2018 Q1 289,457,528 $35,079,743,328 -$308,288,741 $121.24 730
2017 Q4 293,592,840 $30,832,357,465 -$16,969,179 $105.06 733
2017 Q3 290,984,975 $34,341,889,999 +$24,723,207 $118.06 710
2017 Q2 292,569,492 $30,932,252,102 -$1,152,138,596 $105.72 688
2017 Q1 305,741,213 $27,370,572,845 +$2,594,906,230 $89.52 631
2016 Q4 297,248,748 $23,413,588,471 -$661,922,600 $78.76 605
2016 Q3 304,557,116 $25,999,422,409 -$84,389,054 $85.4 605
2016 Q2 306,060,356 $23,292,684,617 -$42,754,723 $75.76 598
2016 Q1 307,201,827 $20,391,814,476 -$450,656,684 $66.11 587
2015 Q4 313,626,995 $21,554,147,828 -$179,442,347 $68.72 585
2015 Q3 315,180,839 $21,350,489,462 -$321,967,493 $67.75 542
2015 Q2 320,697,043 $21,324,039,863 +$412,191,050 $66.5 505
2015 Q1 314,374,577 $18,480,099,639 +$209,211,290 $58.81 467
2014 Q4 311,852,763 $14,663,531,841 +$340,080,324 $47.02 439
2014 Q3 304,561,070 $10,845,917,060 -$16,400,992 $35.61 384
2014 Q2 304,723,600 $10,928,038,244 -$578,476,471 $35.87 375
2014 Q1 323,499,938 $9,383,810,972 +$99,954,580 $29.01 359