Match Group - COM (MTCH)

Historical Holders from Q4 2015 to Q3 2025

Type / Class
Equity / COM
Symbol
MTCH on Nasdaq
Price per share
$17.86
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
6,501
Total reported value
$229,441
Share change
0
Number of holders
2
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, Match Group - COM (MTCH) has 2 institutional shareholders filing 13F forms. They hold 6,501 shares. .

Institutional Holders of Match Group - COM (MTCH) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q3 6,501 $229,441 1,786% 2
2025 Q2 6,501 $200,663 1,564.5% 2
2025 Q1 6,501 $202,677 -$22,582 1,580% 2
2024 Q4 7,192 $235,068 -$30,840 3,268.02% 3
2024 Q3 7,316 $276,651 +$269,722 3,784.01% 3
2024 Q2 228 $6,927 -$228,748 3,038.16% 1
2024 Q1 6,496 $235,675 3,628% 1
2023 Q4 6,496 $237,104 3,650% 1
2023 Q3 6,496 $254,481 3,917.5% 1
2023 Q2 6,496 $271,858 4,185.01% 1
2023 Q1 6,496 $249,381 3,838.99% 1
2022 Q4 6,496 $270,000 4,156.4% 1
2022 Q3 6,496 $310,000 4,772.17% 1
2022 Q2 6,496 $453,000 6,973.52% 1
2022 Q1 6,542 $711,000 -$607,913 10,868.9% 2
2021 Q4 11,136 $1,473,000 -$6,671,278 13,556.21% 4
2021 Q3 53,632 $8,420,000 -$16,349,037 15,701.97% 5
2021 Q2 154,948 $24,986,000 -$25,786,921 16,125.45% 7
2021 Q1 325,949 $44,779,000 -$2,983,997 13,737.89% 9
2020 Q4 346,598 $52,402,000 +$2,125,445 15,122.86% 10
2020 Q3 343,232 $37,979,000 -$10,391,224,908 11,065.63% 13
2020 Q2 97,579,296 $10,432,858,440 +$1,485,941,324 10,705% 332
2020 Q1 87,283,849 $5,764,171,053 +$681,683,103 6,604% 338
2019 Q4 74,694,085 $6,133,527,766 +$423,205,220 8,210.98% 334
2019 Q3 69,943,304 $4,997,126,702 +$414,800,101 7,143.98% 317
2019 Q2 64,221,713 $4,325,449,258 +$178,320,211 6,727% 287
2019 Q1 62,122,316 $3,516,379,038 +$235,499,534 5,661% 271
2018 Q4 58,167,769 $2,487,760,343 -$487,801,830 4,277% 239
2018 Q3 64,619,296 $3,740,928,467 +$305,304,388 5,791% 262
2018 Q2 62,423,945 $2,419,179,223 -$182,704,353 3,874% 256
2018 Q1 66,088,493 $2,936,924,883 +$291,329,880 4,444% 235
2017 Q4 60,449,337 $1,892,676,285 +$113,613,030 3,130.96% 200
2017 Q3 57,312,828 $1,330,826,808 +$183,267,289 2,319% 172
2017 Q2 49,776,396 $865,195,157 +$36,444,758 1,738% 159
2017 Q1 47,727,039 $779,965,983 +$61,945,525 1,632.94% 145
2016 Q4 44,492,659 $760,911,323 +$18,838,439 1,710% 154
2016 Q3 42,992,820 $764,922,279 +$61,275,562 1,779% 149
2016 Q2 39,847,465 $600,790,415 -$19,996,473 1,507.49% 120
2016 Q1 42,224,465 $466,651,000 +$17,273,763 1,105.99% 110
2015 Q4 38,071,936 $515,794,000 +$512,464,000 1,355% 106