Security Snapshot

Fortune Brands Innovations, Inc. - Common Stock (FBIN) Institutional Ownership

CUSIP: 34964C106

13F Institutional Holders and Ownership History from Q1 2014 to Q1 2026

Latest Period

Q1 2026

Institutions Reporting

490

Shares (Excl. Options)

123,288,329

Price

$38.97

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Latest holder snapshot 5 signals
Portfolio coverage rank
0.01%
Share change
+5,508,884
Value change
+$164,496,197
Number of holders
490
Issuer context Names, identifiers, and filing context for this profile. 3 identity fields
Shares outstanding
129,088,167
SEC-reported price per share
$37.65
Insider filing price
$37.65
13F Shares, Excluding Options vs Price
13F Value, Excluding Options
Total Investors

Key facts

  • FBIN - Fortune Brands Innovations, Inc. - Common Stock is tracked under CUSIP 34964C106.
  • 490 institutions reported positions in Q1 2026.
  • 7 significant owners is listed from Schedule 13D/13G reporting.

Change

  • Holder count moved from 511 to 490 between Q4 2025 and Q1 2026.
  • SEC-reported value moved from $5,850,466,503 to $4,804,217,040.

Research use

  • You can quickly see who holds this security, then open quarter and manager detail pages for full evidence.
  • 13F and Schedule 13D/13G sections are kept together so you can cross-check institutional and beneficial ownership context.

Evidence

Source: SEC Form 13F

Latest holder context comes from 490 institutions filings for Q1 2026.

Open SEC evidence

Security key

34964C106

Latest holder period

Q1 2026

13F holders

490

13D/G owners

7

CIK / CUSIP context first

13D/G owners

Significant owners

Large-stake holder rows connected to Schedule 13D/G evidence.

Rows
7
Security
FBIN
Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 9.1% $563,640,157 10,948,721 BlackRock, Inc. 30 Jun 2025
PICTET ASSET MANAGEMENT SA 6.4% $410,275,773 7,618,863 PICTET ASSET MANAGEMENT SA 17 Mar 2026
HARRIS ASSOCIATES L P 6.3% +24% $415,784,541 +$70,692,708 7,581,775 +20% HARRIS ASSOCIATES L P 30 Jun 2025
BlackRock Portfolio Management LLC 5.7% $344,334,479 6,883,936 BlackRock Portfolio Management LLC 31 Dec 2025
VANGUARD CAPITAL MANAGEMENT LLC 5.3% $245,895,790 6,309,874 Vanguard Capital Management 31 Mar 2026
Select Equity Group, L.P. 4.3% $284,855,193 5,194,296 Select Equity Group, L.P. 30 Jun 2025
ORBIS INVESTMENT MANAGEMENT LTD 0.6% -90% $31,608,528 -$264,805,806 774,529 -89% ORBIS INVESTMENT MANAGEMENT LTD 31 Mar 2026

As of 31 Mar 2026, 490 institutional investors reported holding 123,288,329 shares of Fortune Brands Innovations, Inc. - Common Stock (FBIN). This represents 96% of the company’s total 129,088,167 outstanding shares.

13F concentration

Top 25 institutional shareholders

Largest 13F positions for this security by reported shares and value.

Top holder share
70%
Institution Ownership % Shares Held Share Change % Portfolio % Holdings Value
BlackRock, Inc. 15% 19,331,082 +7.4% 0.01% $753,332,271
Pictet Asset Management Holding SA 6% 7,798,078 +74% 0.32% $303,756,758
HARRIS ASSOCIATES L P 5.7% 7,379,014 -3.4% 0.38% $287,560,175
VANGUARD PORTFOLIO MANAGEMENT LLC 4.4% 5,657,724 0% 0.01% $220,481,504
VANGUARD CAPITAL MANAGEMENT LLC 4.2% 5,389,122 0% 0.01% $210,014,084
DIMENSIONAL FUND ADVISORS LP 3.1% 4,064,086 +7.2% 0.03% $158,361,981
First Pacific Advisors, LP 2.9% 3,792,230 +7.6% 2.1% $147,783,203
STATE STREET CORP 2.9% 3,782,208 +1.9% 0.01% $147,392,646
Garden Investment Management, L.P. 2.7% 3,527,608 23% $137,470,884
Point72 Asset Management, L.P. 2.4% 3,120,261 +3105% 0.21% $121,596,571
Amundi 1.9% 2,487,343 +11% 0.03% $96,978,682
ADAGE CAPITAL PARTNERS GP, L.L.C. 1.9% 2,407,536 +128% 0.14% $93,821,678
FIL Ltd 1.8% 2,374,750 -25% 0.07% $92,544,008
GEODE CAPITAL MANAGEMENT, LLC 1.7% 2,223,831 +3.6% 0.01% $86,683,457
Atlas FRM LLC 1.7% 2,175,000 5.5% $84,759,750
SOUTHEASTERN ASSET MANAGEMENT INC/TN/ 1.7% 2,153,285 +83% 4.1% $83,913,516
FIDUCIARY MANAGEMENT INC /WI/ 1.6% 2,072,259 -2.6% 1% $80,755,933
BANK OF AMERICA CORP /DE/ 1.2% 1,531,660 +7.6% 0% $59,688,778
MORGAN STANLEY 1.1% 1,411,029 +22% 0% $54,987,906
Freestone Grove Partners LP 1.1% 1,388,952 -29% 0.39% $54,127,459
FEDERATED HERMES, INC. 1% 1,349,818 +12% 0.09% $52,602,408
KBC Group NV 0.92% 1,186,325 +1.6% 0.12% $46,231,000
UBS AM, a distinct business unit of UBS ASSET MANAGEMENT AMERICAS LLC 0.87% 1,120,330 -0.37% 0.01% $43,659,260
Bank of New York Mellon Corp 0.84% 1,082,024 -67% 0.01% $42,166,478
NORTHERN TRUST CORP 0.81% 1,040,972 -2.4% 0.01% $40,566,678

Quarter history

Institutional holders across reporting periods

Holder count, reported shares/value, and median price by quarter.

Periods
49
Latest
Q1 2026
Rows shown
1-25 of 49
Period 13F Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2026 Q1 123,288,329 $4,804,217,040 +$164,496,197 $38.97 490
2025 Q4 116,946,043 $5,850,466,503 +$300,337,192 $50.02 511
2025 Q3 111,337,972 $5,942,632,066 +$74,475,334 $53.39 536
2025 Q2 110,207,192 $5,694,901,338 -$352,200,553 $51.48 546
2025 Q1 115,775,443 $7,041,602,083 +$22,601,632 $60.88 592
2024 Q4 114,963,640 $7,857,330,494 +$158,875,795 $68.33 606
2024 Q3 111,666,095 $9,988,697,449 +$102,796,817 $89.53 629
2024 Q2 112,537,954 $7,305,274,481 +$7,779,822 $64.94 605
2024 Q1 112,039,217 $9,475,613,472 +$154,087,852 $84.67 618
2023 Q4 110,481,949 $8,409,152,068 -$190,102,397 $76.14 608
2023 Q3 113,271,703 $7,038,977,547 -$97,716,517 $62.16 559
2023 Q2 111,749,074 $8,026,516,167 +$45,340,672 $71.95 572
2023 Q1 111,435,051 $6,539,240,404 +$54,003,829 $58.73 545
2022 Q4 111,055,360 $6,346,087,430 +$3,584,333 $57.11 573
2022 Q3 111,187,583 $5,974,352,955 +$14,016,053 $53.69 599
2022 Q2 110,928,241 $6,643,663,436 -$229,861,192 $59.88 611
2022 Q1 113,946,795 $8,476,199,855 -$180,330,216 $74.28 637
2021 Q4 116,077,471 $12,399,268,009 -$338,573,172 $106.90 696
2021 Q3 119,280,610 $10,674,510,433 -$211,639,514 $89.42 622
2021 Q2 121,572,793 $12,106,918,380 -$40,990,537 $99.61 657
2021 Q1 121,797,328 $11,674,319,622 +$84,498,059 $95.82 621
2020 Q4 122,243,944 $10,477,931,999 +$41,011,101 $85.72 631
2020 Q3 121,777,522 $10,522,003,034 -$28,297,593 $86.52 586
2020 Q2 122,413,992 $7,823,047,747 -$23,671,332 $63.93 538
2020 Q1 123,068,403 $5,309,928,013 -$80,588,698 $43.25 514
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