FLOWERS FOODS INC - Common Stock (FLO)

Historical Holders from Q1 2014 to Q3 2025

Symbol
FLO on NYSE
CUSIP
343498101
Type / Class
Equity / Common Stock
Shares outstanding
211M
All holders as of September 30, 2025
Q3 2025
Total 13F shares, excl. options
170M
Holdings value
$2.22B
% of all portfolios
0.004%
Grand Portfolio weight change
0%
Number of holders
414
Number of buys
225
Number of sells
-202
Average Value change %
+0%
Average buys %
+0.002%
Average sells %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of FLOWERS FOODS INC - Common Stock (FLO)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
FULLER & THALER ASSET MANAGEMENT, INC. 6.11% $203M 12.9M Fuller & Thaler Asset Management, Inc. Jun 30, 2025

Institutional Holders of FLOWERS FOODS INC - Common Stock (FLO)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 170M $2.22B -$74M $13.05 414
2025 Q2 175M $2.79B +$187M $15.98 418
2025 Q1 162M $3.08B +$182M $19.01 401
2024 Q4 152M $3.14B +$154M $20.66 386
2024 Q3 143M $3.3B +$59M $23.07 381
2024 Q2 141M $3.13B +$72.3M $22.20 382
2024 Q1 138M $3.27B -$346M $23.75 369
2023 Q4 152M $3.43B -$137M $22.51 377
2023 Q3 158M $3.51B -$207M $22.18 389
2023 Q2 167M $4.16B -$165M $24.88 369
2023 Q1 174M $4.76B +$109M $27.41 394
2022 Q4 172M $4.93B +$785M $28.74 396
2022 Q3 143M $3.52B -$525M $24.69 375
2022 Q2 163M $4.3B +$153M $26.32 378
2022 Q1 159M $4.08B +$147M $25.71 372
2021 Q4 152M $4.19B +$129M $27.47 372
2021 Q3 146M $3.44B +$25.7M $23.63 332
2021 Q2 145M $3.5B +$70.2M $24.20 327
2021 Q1 142M $3.37B -$21.2M $23.80 331
2020 Q4 144M $3.25B +$84.2M $22.63 318
2020 Q3 140M $3.41B +$19.6M $24.33 337
2020 Q2 140M $3.11B -$34.6M $22.36 331
2020 Q1 141M $2.9B -$55.2M $20.52 331
2019 Q4 144M $3.12B +$78.7M $21.74 335
2019 Q3 140M $3.23B +$13M $23.13 339
2019 Q2 139M $3.23B +$10.6M $23.27 333
2019 Q1 139M $2.96B -$55.2M $21.32 321
2018 Q4 142M $2.62B +$12.8M $18.47 305
2018 Q3 141M $2.63B +$3.62M $18.66 307
2018 Q2 142M $2.94B +$136M $20.83 317
2018 Q1 135M $2.95B +$52.2M $21.86 318
2017 Q4 133M $2.56B -$163M $19.31 315
2017 Q3 141M $2.65B +$78.7M $18.81 284
2017 Q2 137M $2.37B -$4.35M $17.31 289
2017 Q1 137M $2.66B +$294M $19.41 289
2016 Q4 135M $2.7B -$110M $19.97 293
2016 Q3 144M $2.18B -$62.6M $15.12 294
2016 Q2 144M $2.71B +$152M $18.75 277
2016 Q1 134M $2.48B -$80.4M $18.46 274
2015 Q4 139M $2.99B +$73.2M $21.49 285
2015 Q3 135M $3.34B -$109M $24.74 283
2015 Q2 137M $2.9B +$141M $21.15 251
2015 Q1 132M $3.01B +$85.4M $22.74 259
2014 Q4 129M $2.48B -$65.5M $19.19 244
2014 Q3 132M $2.43B -$44.9M $18.36 230
2014 Q2 135M $2.84B +$80.5M $21.08 248
2014 Q1 131M $2.81B +$93.4M $21.45 240