FLIR SYS INC - COM (FLIR) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2021

Type / Class
Equity / COM
Symbol
FLIR
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of FLIR SYS INC - COM (FLIR) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2021 Q4 0 $0 -$792,000 0
2021 Q3 21,852 $792,000 $38.08 2
2021 Q2 0 $0 -$6,546,484,227 0
2021 Q1 118,620,888 $6,699,554,696 +$60,071,504 $56.47 417
2020 Q4 120,130,619 $5,264,664,783 +$104,707,859 $43.83 439
2020 Q3 118,250,988 $4,236,490,934 +$4,755,224 $35.85 427
2020 Q2 117,697,862 $4,772,997,767 -$114,214,433 $40.57 459
2020 Q1 122,243,134 $3,901,732,881 -$198,199,412 $31.89 423
2019 Q4 126,450,555 $6,582,951,228 -$101,812,111 $52.07 481
2019 Q3 127,887,822 $6,724,218,350 +$150,197,948 $52.59 451
2019 Q2 124,917,725 $6,754,815,124 +$103,047,743 $54.10 468
2019 Q1 124,225,393 $5,919,073,824 -$13,442,616 $47.58 480
2018 Q4 124,769,492 $5,430,749,232 -$159,979,191 $43.54 455
2018 Q3 127,154,083 $7,814,020,853 +$95,188,414 $61.47 496
2018 Q2 126,786,323 $6,588,763,095 -$122,273,973 $51.97 476
2018 Q1 128,604,190 $6,431,228,928 -$22,609,357 $50.01 453
2017 Q4 129,487,639 $6,038,397,007 -$40,156,945 $46.62 449
2017 Q3 130,260,512 $5,070,781,447 +$173,598,726 $38.91 404
2017 Q2 126,244,479 $4,376,605,781 -$3,151,527 $34.66 393
2017 Q1 125,888,188 $4,567,252,209 +$378,835,795 $36.28 386
2016 Q4 124,092,482 $4,486,907,453 -$8,237,168 $36.19 375
2016 Q3 123,572,566 $3,874,834,753 -$51,301,837 $31.42 364
2016 Q2 125,224,401 $3,870,257,488 -$100,834,693 $30.95 347
2016 Q1 129,103,559 $4,246,051,517 +$91,106,727 $32.95 358
2015 Q4 126,534,898 $3,548,221,749 -$45,560,491 $28.07 323
2015 Q3 128,145,575 $3,581,090,109 -$72,005,205 $27.99 314
2015 Q2 130,939,706 $4,029,602,997 +$7,393,786 $30.82 308
2015 Q1 130,551,851 $4,083,544,226 -$22,767,722 $31.28 315
2014 Q4 131,236,174 $4,240,000,069 -$130,847,904 $32.31 317
2014 Q3 135,182,848 $4,236,622,864 -$26,706,643 $31.34 299
2014 Q2 135,944,530 $4,721,134,738 -$55,724,355 $34.73 310
2014 Q1 137,721,459 $4,956,784,892 +$232,421,374 $36.00 306