IMAX CORP - Common Stock, no par value (IMAX)

Historical Holders from Q1 2014 to Q3 2025

Symbol
IMAX on NYSE
Type / Class
Equity / Common Stock, no par value
Shares outstanding
53.8M
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
49.5M
Holdings value
$1.62B
% of all portfolios
0.003%
Grand Portfolio weight change
+0%
Number of holders
206
Number of buys
95
Number of sells
-103
Average Value change %
0%
Average buys %
+0.001%
Average sells %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of IMAX CORP - Common Stock, no par value (IMAX)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
ORBIS INVESTMENT MANAGEMENT LTD 9.7% +2.22% $171M $4.22M 5.22M +2.53% Orbis Investment Management Limited 30 Sep 2025
MACQUARIE GROUP LTD 8.58% $151M 4.61M Macquarie Group Limited 30 Sep 2025
FMR LLC 8.5% $104M 4.46M FMR LLC 31 Dec 2024
Nantahala Capital Management, LLC 5.28% $64.7M 2.78M Nantahala Capital Management, LLC 30 Sep 2024
BlackRock, Inc. 4.8% $71.9M 2.57M BlackRock, Inc. 30 Jun 2025
GELFOND RICHARD L 4.54% $58.8M 2.52M Richard L. Gelfond 31 Mar 2025

Institutional Holders of IMAX CORP - Common Stock, no par value (IMAX)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 49.5M $1.62B +$31.9M $32.75 206
2025 Q2 48.4M $1.35B +$17.3M $27.96 198
2025 Q1 48.2M $1.27B +$25.6M $26.35 201
2024 Q4 47.2M $1.21B +$47.1M $25.60 182
2024 Q3 45.5M $935M +$54.7M $20.51 171
2024 Q2 42.8M $719M +$46.4M $16.77 158
2024 Q1 40.2M $650M -$3.19M $16.17 164
2023 Q4 40.6M $609M -$35M $15.02 170
2023 Q3 42.2M $816M +$28.8M $19.32 153
2023 Q2 40.9M $696M -$19M $16.99 155
2023 Q1 42.1M $809M +$3.23M $19.18 135
2022 Q4 42.4M $623M -$8.1M $14.66 135
2022 Q3 43M $608M -$23.3M $14.12 133
2022 Q2 44M $744M -$30M $16.89 146
2022 Q1 45.6M $863M +$23.5M $18.93 146
2021 Q4 44.5M $794M -$15.4M $17.84 146
2021 Q3 44.8M $850M +$2.57M $18.98 129
2021 Q2 44.4M $955M +$22.7M $21.50 156
2021 Q1 43.5M $876M +$47.3M $20.10 147
2020 Q4 41.3M $744M +$29.8M $18.02 127
2020 Q3 38.4M $459M -$34.4M $11.96 126
2020 Q2 41.4M $472M -$26.1M $11.21 145
2020 Q1 44.3M $401M -$130M $9.05 140
2019 Q4 49.3M $1.01B +$4.04M $20.43 148
2019 Q3 49M $1.08B +$9.57M $21.95 155
2019 Q2 48.7M $983M +$3.73M $20.20 140
2019 Q1 48.8M $1.11B +$6.07M $22.68 149
2018 Q4 48.8M $918M -$27.8M $18.81 136
2018 Q3 48.9M $1.26B -$90.9M $25.80 143
2018 Q2 53.1M $1.18B +$7.89M $22.15 135
2018 Q1 53M $1.02B -$95.3M $19.20 143
2017 Q4 53.6M $1.24B -$17.3M $23.15 160
2017 Q3 54.2M $1.23B -$14.9M $22.65 142
2017 Q2 54.9M $1.21B -$103M $22.00 175
2017 Q1 55.8M $1.9B -$45.2M $34.00 178
2016 Q4 60M $1.89B +$96M $31.40 180
2016 Q3 57.5M $1.67B +$106M $28.97 190
2016 Q2 55M $1.62B -$42.3M $29.48 192
2016 Q1 57.7M $1.8B -$65.4M $31.09 204
2015 Q4 59.4M $2.11B -$57.8M $35.54 204
2015 Q3 60.4M $2.04B +$136M $33.79 182
2015 Q2 56M $2.26B +$23.5M $40.27 197
2015 Q1 55.9M $1.89B -$61.9M $33.71 165
2014 Q4 58.1M $1.8B +$14.6M $30.90 139
2014 Q3 57.8M $1.59B -$35M $27.46 131
2014 Q2 58.9M $1.68B +$26.6M $28.48 137
2014 Q1 57.8M $1.59B +$9.39M $27.33 136