Fortive Corp - COMMON STOCK (FTV) Institutional Ownership

13F Institutional Holders and Ownership History from Q3 2014 to Q4 2025

Type / Class
Equity / COMMON STOCK
Symbol
FTV on NYSE
Shares outstanding
318,199,254
Price per share
$55.00
All holders as of 31 Dec 2025
Q4 2025
Total 13F shares
324,412,469
Total reported value
$17,908,334,035
% of total 13F portfolios
0.01%
Share change
+9,915,486
Value change
+$576,473,131
Number of holders
758
Price from insider filings
$55.00
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of Fortive Corp - COMMON STOCK (FTV) based on Schedule 13D/G filings

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
DODGE & COX 14% +10% $2,428,680,210 +$85,911,540 44,157,822 +3.7% Dodge & Cox 31 Dec 2025
BlackRock, Inc. 7.6% $1,786,543,826 25,921,994 BlackRock, Inc. 31 Mar 2025
VIKING GLOBAL INVESTORS LP 6.4% +28% $1,003,495,483 +$168,256,253 20,483,680 +20% VIKING GLOBAL INVESTORS LP 30 Sep 2025
PRICE T ROWE ASSOCIATES INC /MD/ 6.3% $1,102,560,415 20,046,553 T. Rowe Price Associates, Inc. 31 Dec 2025
T. Rowe Price Investment Management, Inc. 4.8% -55% $1,159,616,000 -$1,450,529,194 16,443,789 -56% T. Rowe Price Investment Management, Inc. 31 May 2025

As of 31 Dec 2025, 758 institutional investors reported holding 324,412,469 shares of Fortive Corp - COMMON STOCK (FTV). This represents 102% of the company’s total 318,199,254 outstanding shares.

Top 25 Institutional Shareholders

The largest institutional shareholders of Fortive Corp - COMMON STOCK (FTV) together control 82% of the company’s outstanding shares — a level of ownership often associated with strong institutional conviction and long‑term capital commitment.

Institution Ownership % Shares Held Share Change % Portfolio % Holdings Value
Dodge & Cox 14% 44,157,822 +3.7% 1.3% $2,437,953,353
VANGUARD GROUP INC 12% 37,091,812 -5.2% 0.03% $2,047,838,940
BlackRock, Inc. 9.8% 31,328,755 +0.24% 0.03% $1,729,660,606
PRICE T ROWE ASSOCIATES INC /MD/ 6.3% 20,046,352 +29% 0.12% $1,106,760,000
VIKING GLOBAL INVESTORS LP 6% 19,228,265 -6.1% 2.8% $1,061,592,511
STATE STREET CORP 4.3% 13,651,759 -3.2% 0.03% $753,713,614
FLOSSBACH VON STORCH SE 3.6% 11,305,369 -2.9% 2.5% $624,169,422
NORGES BANK 2.8% 8,910,119 0.05% $491,927,670
GEODE CAPITAL MANAGEMENT, LLC 2.8% 8,787,747 +1.3% 0.03% $483,326,753
BARROW HANLEY MEWHINNEY & STRAUSS LLC 2.6% 8,275,652 -5% 1.5% $456,898,747
Invesco Ltd. 2.2% 7,156,029 -4.7% 0.06% $395,084,388
UBS Group AG 2.2% 6,863,651 +10% 0.08% $378,942,172
MANUFACTURERS LIFE INSURANCE COMPANY, THE 1.8% 5,626,871 +70% 0.26% $310,808,638
UBS AM, a distinct business unit of UBS ASSET MANAGEMENT AMERICAS LLC 1.4% 4,319,610 +4.3% 0.05% $238,485,668
Select Equity Group, L.P. 1.2% 3,862,464 +45% 0.99% $213,246,637
NORTHERN TRUST CORP 1.2% 3,758,217 -2% 0.03% $207,491,161
HOTCHKIS & WILEY CAPITAL MANAGEMENT LLC 1.2% 3,672,300 -1.3% 0.61% $202,747,683
T. Rowe Price Investment Management, Inc. 1.1% 3,623,833 -9% 0.13% $200,072,000
MORGAN STANLEY 1% 3,259,205 +5.1% 0.01% $179,940,832
GOLDMAN SACHS GROUP INC 0.96% 3,041,097 +30% 0.02% $167,898,941
DIMENSIONAL FUND ADVISORS LP 0.94% 2,983,147 -3.5% 0.03% $164,716,081
Gates Capital Management, Inc. 0.77% 2,441,779 -39% 4.7% $134,810,619
MIRAE ASSET GLOBAL ETFS HOLDINGS Ltd. 0.76% 2,416,965 +0.75% 0.2% $133,442,944
Amundi 0.71% 2,243,876 +9.3% 0.04% $123,884,394
FRANKLIN RESOURCES INC 0.68% 2,164,389 +8.1% 0.03% $119,495,895

Institutional Holders of Fortive Corp - COMMON STOCK (FTV) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 324,412,469 $17,908,334,035 +$576,473,131 $55.21 758
2025 Q3 315,724,137 $15,465,249,882 -$701,491,302 $48.99 729
2025 Q2 328,754,017 $17,148,918,374 -$181,330,915 $52.13 787
2025 Q1 332,140,741 $24,281,361,278 +$26,087,773 $73.18 835
2024 Q4 331,314,198 $24,851,368,698 +$176,237,930 $75.00 844
2024 Q3 327,320,133 $25,828,299,381 -$169,877,471 $78.93 838
2024 Q2 331,472,194 $24,562,220,446 -$170,604,705 $74.10 830
2024 Q1 330,799,079 $28,440,569,021 -$42,828,259 $86.02 856
2023 Q4 333,886,132 $24,576,289,317 -$619,773,128 $73.63 811
2023 Q3 340,834,013 $25,272,789,457 -$109,681,844 $74.16 768
2023 Q2 341,656,379 $25,521,633,194 +$257,692,470 $74.77 752
2023 Q1 338,767,025 $23,081,665,085 +$280,373,555 $68.17 760
2022 Q4 335,608,384 $21,564,533,047 -$262,000,585 $64.25 764
2022 Q3 340,266,143 $19,843,165,199 -$2,246,350,163 $58.30 707
2022 Q2 336,321,660 $18,288,659,577 -$242,993,626 $54.38 710
2022 Q1 341,740,321 $20,824,571,118 -$259,738,254 $60.93 741
2021 Q4 343,280,087 $26,179,119,896 +$121,350,606 $76.29 777
2021 Q3 340,550,297 $24,030,170,223 +$888,096,858 $70.57 728
2021 Q2 327,740,720 $22,850,696,028 +$1,007,429,169 $69.74 723
2021 Q1 312,971,413 $22,103,442,658 -$149,782,432 $70.64 729
2020 Q4 315,571,710 $22,334,083,417 +$1,915,472,863 $70.82 754
2020 Q3 288,356,948 $21,931,694,716 -$522,609,928 $76.21 740
2020 Q2 294,698,427 $19,945,213,626 +$949,942,282 $67.66 713
2020 Q1 281,151,697 $15,516,268,087 -$65,679,999 $55.19 696
2019 Q4 279,144,780 $21,319,556,740 -$85,745,068 $76.39 810
2019 Q3 280,214,033 $19,209,104,047 -$102,689,491 $68.56 759
2019 Q2 281,305,310 $22,927,026,580 +$6,041,048 $81.52 795
2019 Q1 284,458,168 $23,860,734,187 +$56,900,061 $83.89 810
2018 Q4 284,199,266 $19,226,654,520 -$5,555,055,577 $67.66 779
2018 Q3 358,718,761 $30,195,048,930 +$5,993,270,006 $84.20 825
2018 Q2 287,362,501 $22,134,083,934 +$426,508,366 $77.11 813
2018 Q1 282,691,287 $21,881,079,081 -$32,080,888 $77.52 819
2017 Q4 283,332,888 $20,474,965,880 +$390,163,478 $72.35 829
2017 Q3 277,446,873 $19,636,404,497 +$107,044,471 $70.79 769
2017 Q2 276,418,610 $17,510,541,095 +$157,116,808 $63.35 751
2017 Q1 274,525,245 $16,527,787,340 +$1,169,554,216 $60.22 764
2016 Q4 269,601,733 $14,458,683,285 +$34,355,175 $53.63 764
2016 Q3 266,839,158 $13,575,746,366 +$13,373,289,146 $50.90 756
2016 Q2 3,914,930 $192,869,000 +$192,753,000 $49.26 18
2016 Q1 325 $23,000 $70.03 2
2014 Q3 133,291 $9,437,000 $70.80 1