FRANKLIN RESOURCES INC - COM (BEN)

Historical Holders from Q1 2014 to Q3 2025

Symbol
BEN on NYSE
Type / Class
Equity / COM
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
269M
Holdings value
$6.22B
% of all portfolios
0.006%
Grand Portfolio weight change
-0.001%
Number of holders
575
Number of buys
284
Number of sells
-246
Average Value change %
0%
Average buys %
+0.001%
Average sells %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of FRANKLIN RESOURCES INC - COM (BEN)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 269M $6.22B -$368M $23.13 575
2025 Q2 284M $6.76B +$117M $23.85 559
2025 Q1 280M $5.4B +$100M $19.25 554
2024 Q4 275M $5.58B +$162M $20.29 555
2024 Q3 266M $5.37B +$211M $20.15 547
2024 Q2 255M $5.71B -$182M $22.35 566
2024 Q1 263M $7.4B +$1.25B $28.11 586
2023 Q4 218M $6.49B -$90.4M $29.79 557
2023 Q3 221M $5.45B -$323M $24.58 531
2023 Q2 234M $6.25B -$43.6M $26.71 525
2023 Q1 235M $6.33B -$67M $26.94 549
2022 Q4 238M $6.29B +$260M $26.38 545
2022 Q3 229M $4.95B +$54.2M $21.52 514
2022 Q2 226M $5.28B +$143M $23.31 523
2022 Q1 221M $6.16B +$71.6M $27.92 560
2021 Q4 216M $7.25B -$76.8M $33.49 564
2021 Q3 220M $6.55B -$131M $29.72 527
2021 Q2 225M $7.19B -$22.3M $31.99 566
2021 Q1 225M $6.67B -$45.3M $29.60 537
2020 Q4 228M $5.7B -$60.1M $24.99 498
2020 Q3 234M $4.76B -$198M $20.35 468
2020 Q2 242M $5.08B +$12.4M $20.97 467
2020 Q1 242M $4.05B -$36.5M $16.69 457
2019 Q4 241M $6.27B -$124M $25.98 501
2019 Q3 245M $7.07B -$388M $28.86 519
2019 Q2 257M $8.92B +$299M $34.80 558
2019 Q1 249M $8.26B -$69.7M $33.14 548
2018 Q4 253M $7.49B +$57.1M $29.66 549
2018 Q3 250M $7.59B -$51.2M $30.41 540
2018 Q2 251M $8.04B -$162M $32.05 560
2018 Q1 256M $8.85B -$136M $34.68 569
2017 Q4 260M $11.2B +$337M $43.33 602
2017 Q3 251M $11.2B -$115M $44.51 548
2017 Q2 254M $11.4B -$104M $44.79 563
2017 Q1 256M $10.8B +$804M $42.14 542
2016 Q4 257M $10.2B -$643M $39.58 544
2016 Q3 273M $9.71B -$261M $35.57 508
2016 Q2 281M $9.38B -$453M $33.37 513
2016 Q1 293M $11.4B -$107M $39.05 531
2015 Q4 297M $10.9B -$168M $36.82 546
2015 Q3 301M $11.2B -$143M $37.26 574
2015 Q2 305M $14.9B -$339M $49.03 594
2015 Q1 311M $16B -$223M $51.32 600
2014 Q4 316M $17.5B +$361M $55.37 598
2014 Q3 309M $16.8B -$228M $54.61 589
2014 Q2 312M $18.1B -$522M $57.84 595
2014 Q1 320M $17.3B +$242M $54.18 582