GREIF, INC - Common Stock (GEF)

Historical Holders from Q1 2014 to Q3 2025

Symbol
GEF on NYSE
Type / Class
Equity / Common Stock
Shares outstanding
26.1M
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
23.9M
Holdings value
$1.43B
% of all portfolios
0.002%
Grand Portfolio weight change
+0%
Number of holders
263
Number of buys
143
Number of sells
-109
Average Value change %
+0%
Average buys %
+0%
Average sells %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of GREIF, INC - Common Stock (GEF)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
FULLER & THALER ASSET MANAGEMENT, INC. 5.22% $95.1M 1.36M Fuller & Thaler Asset Management, Inc. 30 Jun 2025

Institutional Holders of GREIF, INC - Common Stock (GEF)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 23.9M $1.43B +$20.3M $59.76 263
2025 Q2 23.4M $1.52B +$16.2M $64.99 269
2025 Q1 23.2M $1.27B +$23.4M $54.99 240
2024 Q4 22.7M $1.39B +$31.2M $61.12 248
2024 Q3 22M $1.38B -$8.24M $62.66 243
2024 Q2 22.1M $1.27B +$9.75M $57.47 243
2024 Q1 21.9M $1.51B +$23.3M $69.05 237
2023 Q4 21.5M $1.41B +$2.2M $65.59 233
2023 Q3 21.5M $1.44B -$15.6M $66.81 228
2023 Q2 21.7M $1.5B -$40.4M $68.89 223
2023 Q1 22.4M $1.42B -$22.8M $63.37 214
2022 Q4 22.7M $1.52B -$2.51M $67.06 245
2022 Q3 22.8M $1.36B -$21.5M $59.57 220
2022 Q2 23M $1.43B +$16.8M $62.38 212
2022 Q1 22.8M $1.48B +$28.7M $65.06 205
2021 Q4 22.4M $1.35B -$19.4M $60.37 210
2021 Q3 22.6M $1.46B +$37.9M $64.60 191
2021 Q2 22.9M $1.38B -$14.1M $60.55 188
2021 Q1 23.1M $1.32B +$21M $57.00 181
2020 Q4 22.9M $1.07B +$3.21M $46.88 172
2020 Q3 23M $832M +$1.35M $36.21 172
2020 Q2 22.9M $790M -$18.7M $34.41 170
2020 Q1 23.6M $733M +$14M $31.09 168
2019 Q4 22.9M $1.01B +$9.28M $44.20 186
2019 Q3 22.7M $860M +$12.9M $37.89 177
2019 Q2 22.4M $729M -$35.6M $32.55 183
2019 Q1 23.5M $972M +$19.8M $41.25 196
2018 Q4 23.1M $858M -$22.5M $37.11 177
2018 Q3 23.4M $1.26B +$15.3M $53.66 200
2018 Q2 23.1M $1.22B -$5.99M $52.89 201
2018 Q1 23.2M $1.22B -$68.9M $52.25 206
2017 Q4 24.5M $1.48B +$43.2M $60.58 213
2017 Q3 23.7M $1.39B +$32.6M $58.54 196
2017 Q2 23.2M $1.29B -$34.4M $55.78 188
2017 Q1 23.8M $1.31B +$163M $55.09 189
2016 Q4 23.5M $1.21B +$10.1M $51.31 208
2016 Q3 23.3M $1.16B -$14.6M $49.59 195
2016 Q2 24M $895M -$27.6M $37.27 180
2016 Q1 24.9M $815M -$19.4M $32.75 168
2015 Q4 25.5M $784M -$3.63M $30.81 161
2015 Q3 25.6M $815M -$9.67M $31.91 166
2015 Q2 25.8M $926M +$49.6M $35.85 153
2015 Q1 24.3M $954M +$44.1M $39.27 166
2014 Q4 22.8M $1.08B +$14.9M $47.23 174
2014 Q3 22.6M $991M -$14.8M $43.81 169
2014 Q2 22.8M $1.24B +$972K $54.56 186
2014 Q1 22.8M $1.2B +$41.4M $52.49 180