OXFORD INDUSTRIES INC - Common Stock (OXM)

Historical Holders from Q1 2014 to Q3 2025

Symbol
OXM on NYSE
CUSIP
691497309
Type / Class
Equity / Common Stock
Shares outstanding
14.9M
All holders as of September 30, 2025
Q3 2025
Total 13F shares, excl. options
15.5M
Holdings value
$627M
% of all portfolios
0.001%
Grand Portfolio weight change
0%
Number of holders
207
Number of buys
106
Number of sells
-107
Average Value change %
+0%
Average buys %
+0.001%
Average sells %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of OXFORD INDUSTRIES INC - Common Stock (OXM)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 13.8% $82.9M 2.06M BlackRock, Inc. Jun 30, 2025
VANGUARD GROUP INC 8.83% $53.2M 1.31M The Vanguard Group Sep 30, 2025
FMR LLC 6.8% $52.3M 1.01M FMR LLC Mar 31, 2025
DIMENSIONAL FUND ADVISORS LP 5.4% $44.1M 850K Dimensional Fund Advisors LP Dec 31, 2024

Institutional Holders of OXFORD INDUSTRIES INC - Common Stock (OXM)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 15.5M $627M -$20.2M $40.54 207
2025 Q2 16M $643M -$52M $40.25 199
2025 Q1 16.6M $977M -$46.3M $58.67 214
2024 Q4 17.2M $1.36B +$75.4M $78.78 221
2024 Q3 16.2M $1.4B -$18.3M $86.76 227
2024 Q2 16.2M $1.63B +$115M $100.15 243
2024 Q1 15.1M $1.69B +$91.3M $112.40 253
2023 Q4 14.3M $1.43B +$34.2M $100.00 253
2023 Q3 13.9M $1.34B -$1.81M $96.13 242
2023 Q2 13.9M $1.37B -$39.2M $98.42 231
2023 Q1 14.3M $1.5B -$28.4M $105.59 236
2022 Q4 14.7M $1.37B -$35.8M $93.18 247
2022 Q3 15M $1.34B -$67.9K $89.78 239
2022 Q2 14.8M $1.32B +$12.7M $88.74 212
2022 Q1 14.8M $1.34B +$29.2M $90.50 210
2021 Q4 14.4M $1.46B +$13.4M $101.52 207
2021 Q3 14.2M $1.28B +$45.5M $90.17 184
2021 Q2 14.4M $1.42B -$28.8M $98.84 170
2021 Q1 14.7M $1.28B -$38.2M $87.42 145
2020 Q4 15.1M $991M -$19.1M $65.51 145
2020 Q3 15.5M $627M -$21.8M $40.36 140
2020 Q2 16M $704M +$3.57M $44.01 146
2020 Q1 15.8M $573M -$44.3M $36.26 134
2019 Q4 16.7M $1.26B +$34.9M $75.42 163
2019 Q3 16.8M $1.2B -$6.27M $71.70 167
2019 Q2 17M $1.29B +$77.7M $75.80 178
2019 Q1 16.1M $1.21B +$18.5M $75.26 182
2018 Q4 15.8M $1.12B +$32.6M $71.04 186
2018 Q3 15.3M $1.38B +$19.6M $90.20 180
2018 Q2 15.1M $1.25B +$18.5M $82.98 191
2018 Q1 14.9M $1.11B +$5.05M $74.56 192
2017 Q4 14.8M $1.11B -$36.4M $75.19 184
2017 Q3 15.3M $973M +$35.1M $63.54 166
2017 Q2 14.8M $920M -$7.61M $62.49 163
2017 Q1 14.9M $855M +$89.8M $57.26 161
2016 Q4 15.2M $915M +$37.5M $60.13 158
2016 Q3 14.4M $977M -$11M $67.70 168
2016 Q2 14.5M $822M -$4.99M $56.62 153
2016 Q1 14.1M $950M +$15.6M $67.23 160
2015 Q4 14M $891M -$10.7M $63.82 161
2015 Q3 14.1M $1.04B +$2.28M $73.88 180
2015 Q2 13.8M $1.21B -$5.44M $87.45 169
2015 Q1 13.9M $1.05B +$27.1M $75.45 155
2014 Q4 14.1M $781M +$11.6M $55.21 129
2014 Q3 13.9M $845M -$12.2M $60.99 136
2014 Q2 14M $935M +$9.46M $66.67 141
2014 Q1 13.9M $1.08B +$15.8M $78.20 127