JEFFERIES FINL GROUP INC - COM (JEF)

Historical Holders from Q2 2018 to Q3 2025

Type / Class
Debt / COM
Market price (% of par)
2200.0%
All holders as of 30 Sep 2025
Q3 2025
Total 13F principal as of 30 Sep 2025
$183,608
Total reported market value
$152,521
Principal change
$0
Market value change
+$5,365
Number of holders
3
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
4 filings reported holding JEF - JEFFERIES FINL GROUP INC - COM.
JEFFERIES FINL GROUP INC - COM (JEF) has 3 institutional bondholders. These institutions hold $183,608 principal (par value) of the bond.

Institutional Holders of JEFFERIES FINL GROUP INC - COM (JEF) across Reporting Periods

Period Principal Value Change Price (% of par) Investors
2025 Q3 $183,608 $152,521 +$5,365 2,200% 3
2025 Q2 $207,108 $140,360 -$6,289 2,200% 3
2025 Q1 $935,421 $533,743 -$347,768 2,200% 3
2024 Q4 $924,272 $1,127,118 -$296,859 5,015.66% 4
2024 Q3 $930,039 $1,252,307 4,177.5% 4
2024 Q2 $930,039 $46,277,882 -$794,203 4,934.01% 4
2024 Q1 $945,999 $41,718,882 4,410% 4
2023 Q4 $945,999 $37,713,143 4,012.98% 4
2023 Q3 $945,999 $34,652,519 +$35,256 3,663.02% 4
2023 Q2 $945,042 $31,347,032 -$1,019,646 3,317% 3
2023 Q1 $975,782 $30,971,311 3,174% 3
2022 Q4 $975,782 $33,450,022 +$22 3,427.97% 3
2022 Q3 $975,781 $28,786,000 2,950.4% 2
2022 Q2 $975,781 $26,951,000 -$103,380 2,762.34% 2
2022 Q1 $979,710 $32,513,000 3,285.28% 3
2021 Q4 $979,746 $38,005,349 3,879.97% 3
2021 Q3 $979,521 $36,406,000 -$1,086,036 3,713% 3
2021 Q2 $1,008,773 $34,500,034 3,419.91% 3
2021 Q1 $1,008,787 $30,363,696 -$123,030 3,009.95% 3
2020 Q4 $1,013,788 $24,940,000 +$1,000 2,460.12% 4
2020 Q3 $1,008,764 $18,158,000 1,800.17% 2
2020 Q2 $1,008,764 $15,687,000 +$1,986,000 1,555.19% 2
2020 Q1 $881,093 $12,044,000 -$6,000 1,300.76% 2
2019 Q4 $881,393 $18,835,000 2,136.97% 3
2019 Q3 $881,393 $16,218,000 1,840.04% 3
2019 Q2 $881,393 $16,950,000 -$6,231 2,000% 3
2019 Q1 $881,717 $16,568,000 2,000% 3
2018 Q4 $881,717 $15,305,993 -$222,000 1,666.67% 3
2018 Q3 $891,817 $19,585,139 -$60,951 2,265.68% 4
2018 Q2 $894,581 $20,343,581 +$20,343,581 2,372.33% 4