General Motors Co (GM) - COMMON

Historical Holders from Q1 2018 to Q3 2025

Type / Class
Equity / COMMON
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
23,064,358
Holdings value
$1,406,233,907
% of all portfolios
0.01%
Number of holders
1
Number of sells
-1
Average sells %
-0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of General Motors Co (GM) - COMMON

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q3 23,064,358 $1,406,233,907 -$35,972,300 $60.97 1
2025 Q2 23,654,358 $1,164,030,957 -$6,185,795 $49.21 1
2025 Q1 23,780,060 $1,118,376,222 +$2,662,650 $47.03 1
2024 Q4 23,723,444 $1,263,747,862 -$5,721,837 $53.27 1
2024 Q3 23,830,856 $1,068,575,583 +$25,298,638 $44.84 1
2024 Q2 23,266,658 $1,080,968,931 +$5,226,750 $46.46 1
2024 Q1 23,154,158 $1,050,041,065 +$5,256,065 $45.35 1
2023 Q4 23,038,258 $827,534,227 +$29,392,258 $35.92 1
2023 Q3 22,219,988 $732,593,004 +$6,058,897 $32.97 1
2023 Q2 22,036,218 $849,716,566 +$68,409,296 $38.56 1
2023 Q1 20,262,118 $743,214,488 +$181,313,458 $36.68 1
2022 Q4 15,319,003 $515,331,261 +$16,586,572 $33.64 1
2022 Q3 14,825,942 $475,764,000 +$10,613,532 $32.09 1
2022 Q2 14,495,199 $460,368,000 +$2,887,940 $31.76 1
2022 Q1 14,404,269 $630,043,000 +$54,995,857 $43.74 1
2021 Q4 13,146,934 $770,805,000 +$161,464,436 $58.63 1
2021 Q3 10,392,979 $547,814,000 -$1,309,053 $52.71 1
2021 Q2 10,417,814 $616,422,000 -$7,853,633 $59.17 1
2021 Q1 10,550,544 $606,234,000 -$450,360,486 $57.46 1
2020 Q4 18,388,356 $765,691,000 +$765,691,000 $41.64 1
2020 Q3 0 $0 -$356,125,000 0
2020 Q2 14,076,097 $356,125,000 +$356,125,000 $25.3 1
2020 Q1 0 $0 -$731,310,000 0
2019 Q4 19,981,145 $731,310,000 -$6,573,361 $36.6 1
2019 Q3 20,160,745 $755,625,000 -$3,019,015 $37.48 1
2019 Q2 20,241,295 $779,897,000 +$779,897,000 $38.53 1
2019 Q1 0 $0 -$682,097,000 0
2018 Q4 20,391,537 $682,097,000 +$4,261,531 $33.45 1
2018 Q3 20,264,137 $682,293,000 +$2,398,986 $33.67 1
2018 Q2 20,192,887 $795,600,000 +$634,591,849 $39.4 1
2018 Q1 4,086,500 $148,503,000 +$148,503,000 $36.34 1