ESCO TECHNOLOGIES INC - Common Stock (ESE)

Historical Holders from Q1 2014 to Q3 2025

Symbol
ESE on NYSE
CUSIP
296315104
Type / Class
Equity / Common Stock
Shares outstanding
25.9M
All holders as of September 30, 2025
Q3 2025
Total 13F shares, excl. options
25.2M
Holdings value
$5.33B
% of all portfolios
0.004%
Grand Portfolio weight change
+0%
Number of holders
358
Number of buys
163
Number of sells
-184
Average Value change %
0%
Average buys %
+0.001%
Average sells %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of ESCO TECHNOLOGIES INC - Common Stock (ESE)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 14.2% $777M 3.68M BlackRock, Inc. Sep 30, 2025
DIMENSIONAL FUND ADVISORS LP 4.4% $179M 1.14M Dimensional Fund Advisors LP Mar 31, 2025

Institutional Holders of ESCO TECHNOLOGIES INC - Common Stock (ESE)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 25.2M $5.33B +$11M $211.11 358
2025 Q2 25.2M $4.83B +$73.6M $191.87 356
2025 Q1 24.8M $3.95B -$14.9M $159.12 329
2024 Q4 24.9M $3.32B +$4.07M $133.21 279
2024 Q3 24.9M $3.21B +$36.1M $128.98 252
2024 Q2 24.7M $2.59B +$48.2M $105.04 254
2024 Q1 24.4M $2.61B -$33M $107.05 237
2023 Q4 24.7M $2.89B +$60.8M $117.03 216
2023 Q3 24.1M $2.52B -$17.3M $104.44 197
2023 Q2 24.3M $2.52B +$2.08M $103.63 197
2023 Q1 24.3M $2.32B +$7.72M $95.45 188
2022 Q4 24.3M $2.13B -$22.6M $87.54 195
2022 Q3 24.6M $1.8B -$208M $73.44 165
2022 Q2 24.7M $1.69B +$14.7M $68.37 169
2022 Q1 24.5M $1.72B +$3.42M $69.92 172
2021 Q4 24.3M $2.19B -$8.72M $89.99 186
2021 Q3 24.5M $1.88B +$6.88M $77.00 184
2021 Q2 24.3M $2.28B -$35.4M $93.81 178
2021 Q1 24.6M $2.68B +$967K $108.89 178
2020 Q4 24.6M $2.54B +$41.3M $103.22 193
2020 Q3 24.3M $1.96B -$17.8M $80.56 188
2020 Q2 24.5M $2.07B -$3.28M $84.53 186
2020 Q1 24.6M $1.86B -$54.6M $75.91 192
2019 Q4 24.6M $2.28B +$20.5M $92.50 199
2019 Q3 24.5M $1.95B -$19.1M $79.56 185
2019 Q2 24.7M $2.04B +$31.9M $82.62 175
2019 Q1 24.6M $1.65B +$500K $67.03 180
2018 Q4 24.6M $1.62B -$7.97M $65.95 172
2018 Q3 24.7M $1.68B +$19.7K $68.05 159
2018 Q2 24.8M $1.43B +$15.9M $57.70 152
2018 Q1 24.5M $1.43B -$3.26M $58.55 163
2017 Q4 24.7M $1.49B -$13.6M $60.25 166
2017 Q3 24.9M $1.49B +$20.9M $59.95 156
2017 Q2 24.6M $1.46B +$33.3M $59.65 159
2017 Q1 24.7M $1.44B +$201M $58.10 159
2016 Q4 24.2M $1.37B -$15.2M $56.65 163
2016 Q3 24.5M $1.14B +$1.3M $46.42 150
2016 Q2 24.5M $979M +$5.11M $39.94 151
2016 Q1 24.4M $951M +$1.83M $38.98 156
2015 Q4 24.4M $880M -$25.3M $36.14 146
2015 Q3 25.1M $900M -$1.3M $35.90 131
2015 Q2 25.2M $943M +$5.71M $37.41 132
2015 Q1 25M $976M +$5.65M $38.98 134
2014 Q4 24.9M $920M -$9.19M $36.90 134
2014 Q3 25.2M $876M +$10.5M $34.78 135
2014 Q2 24.9M $862M -$14.5M $34.64 142
2014 Q1 25.3M $889M +$8.23M $35.19 122