KIMBERLY CLARK CORP - Common Stock (KMB)

Historical Holders from Q1 2014 to Q3 2025

Symbol
KMB on Nasdaq
Type / Class
Equity / Common Stock
Shares outstanding
332M
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
266M
Holdings value
$33.1B
% of all portfolios
0.027%
Grand Portfolio weight change
+0%
Number of holders
1688
Number of buys
672
Number of sells
-817
Average Value change %
+0%
Average buys %
+0.004%
Average sells %
-0.003%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of KIMBERLY CLARK CORP - Common Stock (KMB)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
VANGUARD GROUP INC 12.18% +15% $5.21B $682M 40.4M +15.1% The Vanguard Group 30 Jun 2025
BlackRock, Inc. 7.6% $3.28B 25.1M BlackRock, Inc. 31 Mar 2025

Institutional Holders of KIMBERLY CLARK CORP - Common Stock (KMB)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 266M $33.1B +$46.1M $124.34 1,688
2025 Q2 265M $34.2B +$1.18B $128.92 1,743
2025 Q1 256M $36.4B -$904M $142.22 1,788
2024 Q4 262M $34.4B +$507M $131.04 1,769
2024 Q3 257M $36.5B -$542M $142.28 1,719
2024 Q2 259M $35.8B +$87.5M $138.20 1,724
2024 Q1 260M $33.6B +$274M $129.35 1,675
2023 Q4 257M $31.3B -$51.9M $121.51 1,664
2023 Q3 257M $31.1B +$186M $120.85 1,579
2023 Q2 256M $35.3B -$154M $138.06 1,665
2023 Q1 257M $34.5B -$47.4M $134.22 1,629
2022 Q4 257M $35B +$439M $135.75 1,638
2022 Q3 254M $28.6B +$281M $112.54 1,548
2022 Q2 251M $34B +$167M $135.15 1,623
2022 Q1 252M $31.1B +$107M $123.16 1,585
2021 Q4 251M $35.9B +$199M $142.92 1,654
2021 Q3 249M $33B +$673M $132.44 1,521
2021 Q2 244M $32.7B -$770M $133.78 1,560
2021 Q1 250M $34.8B +$178M $139.05 1,604
2020 Q4 248M $33.5B -$205M $134.83 1,605
2020 Q3 250M $36.9B +$212M $147.66 1,583
2020 Q2 248M $35B +$448M $141.35 1,567
2020 Q1 245M $31.4B -$976M $127.87 1,512
2019 Q4 252M $34.7B +$317M $137.55 1,524
2019 Q3 249M $35.4B -$331M $142.05 1,475
2019 Q2 250M $33.3B +$556M $133.28 1,470
2019 Q1 248M $30.7B -$487M $123.90 1,449
2018 Q4 252M $28.7B -$44.6M $113.94 1,398
2018 Q3 251M $28.5B -$903M $113.64 1,351
2018 Q2 259M $27.3B +$301M $105.34 1,343
2018 Q1 259M $28.5B -$521M $110.13 1,370
2017 Q4 264M $31.8B +$982M $120.66 1,386
2017 Q3 255M $30B +$503M $117.68 1,305
2017 Q2 250M $32.3B +$742M $129.11 1,314
2017 Q1 248M $32.6B +$3.3B $131.63 1,324
2016 Q4 248M $28.3B -$211M $114.12 1,285
2016 Q3 248M $31.3B -$91.8M $126.14 1,263
2016 Q2 249M $34.3B +$102M $137.48 1,288
2016 Q1 248M $33.4B +$135M $134.51 1,283
2015 Q4 248M $31.5B +$7.62M $127.30 1,263
2015 Q3 248M $27B +$571M $109.04 1,188
2015 Q2 246M $26.1B -$196M $105.97 1,188
2015 Q1 248M $26.6B -$296M $107.11 1,194
2014 Q4 251M $29B -$331M $115.54 1,191
2014 Q3 253M $27.3B -$266M $107.57 1,125
2014 Q2 256M $28.5B -$314M $111.22 1,131
2014 Q1 260M $28.6B -$279M $110.25 1,122