EXACT SCIENCES CORP - COMMON STOCK (EXAS)

Historical Holders from Q1 2014 to Q3 2025

Symbol
EXAS on Nasdaq
Type / Class
Equity / COMMON STOCK
Shares outstanding
190M
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
177M
Holdings value
$9.69B
% of all portfolios
0.008%
Grand Portfolio weight change
0%
Number of holders
556
Number of buys
271
Number of sells
-236
Average Value change %
0%
Average buys %
+0.003%
Average sells %
-0.004%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of EXACT SCIENCES CORP - COMMON STOCK (EXAS)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
Capital World Investors 8.5% -11% $883M -$92.7M 16.1M -9.5% Capital World Investors 30 Sep 2025
BlackRock, Inc. 4.3% $429M 8.07M BlackRock, Inc. 30 Jun 2025
WELLINGTON MANAGEMENT GROUP LLP 3% -52.9% $314M -$364M 5.75M -53.6% Wellington Management Group LLP 30 Sep 2025
FMR LLC 2.9% -69% $373M -$886M 5.51M -70.4% FMR LLC 28 Nov 2025

Institutional Holders of EXACT SCIENCES CORP - COMMON STOCK (EXAS)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 177M $9.69B -$78.7M $54.71 556
2025 Q2 179M $9.49B -$143M $53.14 551
2025 Q1 182M $7.87B -$146M $43.29 547
2024 Q4 183M $10.3B -$69.9M $56.19 584
2024 Q3 183M $12.4B +$461M $68.12 589
2024 Q2 179M $7.56B +$541M $42.25 527
2024 Q1 164M $11.3B +$214M $69.06 614
2023 Q4 161M $11.9B -$205M $73.98 639
2023 Q3 164M $11.2B -$10.5M $68.22 615
2023 Q2 162M $15.2B -$121M $93.90 645
2023 Q1 164M $11.1B +$84.8M $67.81 575
2022 Q4 164M $8.11B +$128M $49.51 534
2022 Q3 162M $5.25B -$245M $32.49 445
2022 Q2 147M $5.81B -$283M $39.39 472
2022 Q1 167M $11.7B +$468M $69.92 537
2021 Q4 161M $12.5B +$134M $77.83 573
2021 Q3 158M $15.1B +$325M $95.45 593
2021 Q2 154M $19.2B +$137M $124.31 611
2021 Q1 153M $20.2B +$865M $131.78 632
2020 Q4 146M $19.3B +$1.2B $132.49 612
2020 Q3 138M $14B +$576M $101.95 499
2020 Q2 132M $11.5B +$192M $86.94 502
2020 Q1 131M $7.62B -$70.8M $58.00 458
2019 Q4 130M $12B +$1.48B $92.48 512
2019 Q3 114M $10.3B -$187M $90.37 462
2019 Q2 115M $13.5B +$672M $118.04 466
2019 Q1 113M $9.75B +$48.6M $86.62 415
2018 Q4 113M $7.1B -$183M $63.10 356
2018 Q3 115M $9.04B +$658M $78.92 356
2018 Q2 107M $6.41B -$69M $59.79 341
2018 Q1 109M $4.41B +$406M $40.33 313
2017 Q4 99.1M $5.21B -$108M $52.54 310
2017 Q3 99.9M $4.71B -$124M $47.12 280
2017 Q2 103M $3.65B +$73.5M $35.37 264
2017 Q1 102M $2.41B +$295M $23.62 220
2016 Q4 97.5M $1.3B -$4.3M $13.36 218
2016 Q3 95.4M $1.77B +$16.1M $18.57 221
2016 Q2 94.6M $1.16B +$190M $12.25 178
2016 Q1 81.1M $546M -$90.3M $6.74 162
2015 Q4 92.3M $852M -$123M $9.23 177
2015 Q3 91.6M $1.65B -$33.4M $17.99 190
2015 Q2 87.9M $2.61B +$29.8M $29.74 202
2015 Q1 87.3M $1.92B +$53.4M $22.02 179
2014 Q4 84.1M $2.31B +$201M $27.44 197
2014 Q3 73.4M $1.42B -$100M $19.38 170
2014 Q2 79.7M $1.36B +$261M $17.03 153
2014 Q1 64.7M $917M +$6.68M $14.17 146