EXELON CORP - Common Stock (EXC)

Historical Holders from Q1 2014 to Q3 2025

Symbol
EXC on Nasdaq
CUSIP
30161N101
Type / Class
Equity / Common Stock
Shares outstanding
1.01B
All holders as of September 30, 2025
Q3 2025
Total 13F shares, excl. options
846M
Holdings value
$38B
% of all portfolios
0.015%
Grand Portfolio weight change
0%
Number of holders
1169
Number of buys
589
Number of sells
-446
Average Value change %
0%
Average buys %
+0.002%
Average sells %
-0.003%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of EXELON CORP - Common Stock (EXC)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 9% $4.25B 90.7M BlackRock, Inc. Mar 31, 2025
WELLINGTON MANAGEMENT GROUP LLP 3.4% $1.61B 34.5M Wellington Management Group LLP Dec 31, 2024

Institutional Holders of EXELON CORP - Common Stock (EXC)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 846M $38B -$125M $45.01 1,169
2025 Q2 847M $36.8B +$1.37B $43.42 1,159
2025 Q1 821M $37.8B +$223M $46.08 1,170
2024 Q4 817M $30.7B +$169M $37.64 1,077
2024 Q3 806M $32.7B -$1.05B $40.55 1,035
2024 Q2 829M $28.7B +$494M $34.61 975
2024 Q1 814M $30.6B +$423M $37.57 988
2023 Q4 805M $28.9B +$142M $35.90 992
2023 Q3 802M $30.3B -$308M $37.79 975
2023 Q2 807M $32.9B -$279M $40.74 983
2023 Q1 813M $34B +$145M $41.89 979
2022 Q4 810M $35B +$247M $43.23 990
2022 Q3 804M $30.1B -$211M $37.46 957
2022 Q2 809M $36.7B +$428M $45.32 1,005
2022 Q1 803M $38.2B +$693M $47.63 1,007
2021 Q4 783M $45.2B +$1.19M $57.76 1,038
2021 Q3 785M $37.9B -$72M $48.34 919
2021 Q2 786M $34.8B +$425M $44.31 907
2021 Q1 776M $33.9B +$383M $43.74 908
2020 Q4 772M $32.5B +$370M $42.22 905
2020 Q3 768M $27.5B -$219M $35.76 839
2020 Q2 770M $27.9B -$49.7M $36.29 865
2020 Q1 770M $28.4B +$193M $36.81 866
2019 Q4 761M $34.7B -$73.6M $45.59 957
2019 Q3 763M $36.9B -$497M $48.31 957
2019 Q2 774M $37.1B -$53.3M $47.94 995
2019 Q1 782M $39.2B +$205M $50.13 1,003
2018 Q4 777M $35B +$673M $45.10 967
2018 Q3 762M $33.2B -$280M $43.66 909
2018 Q2 768M $32.7B +$335M $42.60 896
2018 Q1 760M $29.6B +$268M $39.01 871
2017 Q4 754M $29.7B +$183M $39.41 860
2017 Q3 747M $28.2B +$213M $37.67 782
2017 Q2 742M $26.8B +$1.31B $36.07 793
2017 Q1 707M $25.4B +$2.8B $35.98 776
2016 Q4 701M $24.9B +$141M $35.49 805
2016 Q3 695M $23.1B +$104M $33.29 740
2016 Q2 691M $25.1B +$8.53M $36.36 763
2016 Q1 691M $24.7B +$35.1M $35.86 750
2015 Q4 696M $19.3B -$33.4M $27.77 716
2015 Q3 681M $20.2B -$909M $29.70 734
2015 Q2 720M $22.6B -$72.8M $31.42 722
2015 Q1 724M $24.3B +$331M $33.61 721
2014 Q4 713M $26.4B +$310M $37.08 732
2014 Q3 705M $24B +$453M $34.09 690
2014 Q2 690M $25.2B +$2.2B $36.48 725
2014 Q1 630M $21.2B +$638M $33.56 670