- Type / Class
- Equity / Common Stock
- Shares outstanding
- 817,013,199
- Total 13F shares
- 68,124,354
- Share change
- +2,562,327
- Total reported value
- $9,949,010,673
- Put/Call ratio
- 87%
- Price per share
- $146.08
- Number of holders
- 443
- Value change
- +$386,227,403
- Number of buys
- 221
- Number of sells
- 202
Quarterly Holders Quick Answers
What is CUSIP 697435105?
CUSIP 697435105 identifies PANW - Palo Alto Networks Inc - Common Stock in SEC institutional holdings data.
Need full ownership history?
Open the full security ownership history page.
Next holder-history checks
These links keep the next click tied to holder verification, nearby quarters, or outside-13F ownership context.
- Back to full security ownership history for the broader multi-quarter picture.
- Latest 13F filings for newly reported positions across managers.
- Latest Schedule 13D/13G reports for ownership changes outside the 13F cadence.
- SEC investors directory for manager drilldown.
Explore More Reporting Periods
Jump to adjacent filing periods for faster comparison and easier crawl discovery.
Recent filing periods for CUSIP 697435105:
Top shareholders of PANW - Palo Alto Networks Inc - Common Stock (13F + 13D/G + 3/4/5)
Grouped by holder across the latest SEC ownership disclosures. Ownership % is shown only when it is directly reported or safely comparable across share classes.
Methodology: rows are grouped by holder and ranked by the holder's primary source value. — indicates unavailable or non-comparable values; "mixed-class rows" means the latest filing spans non-comparable classes.
| Holder | Source | Role / Reporting | Ownership % | Shares | Holdings Value | 12M Net Δ | As of | Details |
|---|---|---|---|---|---|---|---|---|
| Capital Research Global Investors |
13F
|
Company |
0.79%
|
6,480,979
|
$794,374,000 | — | 31 Dec 2014 | |
| VANGUARD GROUP INC |
13F
|
Company |
0.5%
|
4,115,047
|
$504,381,000 | — | 31 Dec 2014 | |
| SC XI MANAGEMENT LLC |
13F
|
Company |
0.49%
|
4,036,047
|
$494,698,000 | — | 31 Dec 2014 | |
| PRICE T ROWE ASSOCIATES INC /MD/ |
13F
|
Company |
0.36%
|
2,970,130
|
$364,049,000 | — | 31 Dec 2014 | |
| WELLS FARGO & COMPANY/MN |
13F
|
Company |
0.31%
|
2,542,378
|
$311,620,000 | — | 31 Dec 2014 | |
| MORGAN STANLEY |
13F
|
Company |
0.27%
|
2,237,507
|
$274,250,000 | — | 31 Dec 2014 | |
| Allianz Asset Management GmbH |
13F
|
Company |
0.24%
|
1,940,099
|
$237,798,000 | — | 31 Dec 2014 | |
| Invesco Ltd. |
13F
|
Company |
0.23%
|
1,906,498
|
$233,679,000 | — | 31 Dec 2014 | |
| CRITERION CAPITAL MANAGEMENT LLC |
13F
|
Company |
0.21%
|
1,742,033
|
$213,521,000 | — | 31 Dec 2014 | |
| SCGF III MANAGEMENT LLC |
13F
|
Company |
0.19%
|
1,567,944
|
$192,183,000 | — | 31 Dec 2014 | |
| BlackRock Institutional Trust Company, N.A. |
13F
|
Company |
0.19%
|
1,513,419
|
$185,500,000 | — | 31 Dec 2014 | |
| JPMORGAN CHASE & CO |
13F
|
Company |
0.17%
|
1,414,310
|
$173,353,000 | — | 31 Dec 2014 | |
| 1832 Asset Management L.P. |
13F
|
Company |
0.17%
|
1,361,500
|
$165,068,000 | — | 31 Dec 2014 | |
| FMR LLC |
13F
|
Company |
0.16%
|
1,312,915
|
$160,924,000 | — | 31 Dec 2014 | |
| FRANKLIN RESOURCES INC |
13F
|
Company |
0.14%
|
1,140,466
|
$139,788,000 | — | 31 Dec 2014 | |
| BANK OF AMERICA CORP /DE/ |
13F
|
Company |
0.14%
|
1,111,730
|
$136,265,000 | — | 31 Dec 2014 | |
| ALLIANCEBERNSTEIN L.P. |
13F
|
Company |
0.12%
|
993,430
|
$121,765,000 | — | 31 Dec 2014 | |
| STATE STREET CORP |
13F
|
Company |
0.12%
|
980,738
|
$120,214,000 | — | 31 Dec 2014 | |
| WESTFIELD CAPITAL MANAGEMENT CO LP |
13F
|
Company |
0.11%
|
930,212
|
$114,016,000 | — | 31 Dec 2014 | |
| TIAA CREF INVESTMENT MANAGEMENT LLC |
13F
|
Company |
0.09%
|
766,601
|
$93,962,000 | — | 31 Dec 2014 | |
| AMERIPRISE FINANCIAL INC |
13F
|
Company |
0.09%
|
714,063
|
$87,535,000 | — | 31 Dec 2014 | |
| PFM Health Sciences, LP |
13F
|
Company |
0.08%
|
661,258
|
$81,050,000 | — | 31 Dec 2014 | |
| AMERICAN CENTURY COMPANIES INC |
13F
|
Company |
0.08%
|
643,643
|
$78,891,000 | — | 31 Dec 2014 | |
| BlackRock Fund Advisors |
13F
|
Company |
0.07%
|
607,988
|
$74,521,000 | — | 31 Dec 2014 | |
| Bank of New York Mellon Corp |
13F
|
Company |
0.07%
|
594,281
|
$72,841,000 | — | 31 Dec 2014 | |
| NORTHERN TRUST CORP |
13F
|
Company |
0.07%
|
571,968
|
$70,106,000 | — | 31 Dec 2014 | |
| SCGE MANAGEMENT, L.P. |
13F
|
Company |
0.06%
|
500,000
|
$61,285,000 | — | 31 Dec 2014 | |
| Passport Capital, LLC |
13F
|
Company |
0.06%
|
499,955
|
$61,279,000 | — | 31 Dec 2014 | |
| Capital World Investors |
13F
|
Company |
0.05%
|
430,000
|
$52,705,000 | — | 31 Dec 2014 | |
| STRS OHIO |
13F
|
Company |
0.05%
|
408,000
|
$50,009,000 | — | 31 Dec 2014 | |
| ROYAL BANK OF CANADA |
13F
|
Company |
0.05%
|
404,883
|
$49,627,000 | — | 31 Dec 2014 | |
| CASTLEARK MANAGEMENT LLC |
13F
|
Company |
0.05%
|
388,200
|
$47,582,000 | — | 31 Dec 2014 | |
| Whale Rock Capital Management LLC |
13F
|
Company |
0.05%
|
386,503
|
$47,374,000 | — | 31 Dec 2014 | |
| EAGLE ASSET MANAGEMENT INC |
13F
|
Company |
0.05%
|
386,078
|
$47,321,000 | — | 31 Dec 2014 | |
| State of New Jersey Common Pension Fund D |
13F
|
Company |
0.05%
|
380,000
|
$46,577,000 | — | 31 Dec 2014 | |
| ZEVENBERGEN CAPITAL INVESTMENTS LLC |
13F
|
Company |
0.05%
|
373,883
|
$45,827,000 | — | 31 Dec 2014 | |
| DEUTSCHE BANK AG\ |
13F
|
Company |
0.04%
|
367,576
|
$45,047,000 | — | 31 Dec 2014 | |
| JACOBS LEVY EQUITY MANAGEMENT, INC |
13F
|
Company |
0.04%
|
363,819
|
$44,593,000 | — | 31 Dec 2014 | |
| UBS Group AG |
13F
|
Company |
0.04%
|
360,447
|
$44,180,000 | — | 31 Dec 2014 | |
| VOYA INVESTMENT MANAGEMENT LLC |
13F
|
Company |
0.04%
|
335,053
|
$41,068,000 | — | 31 Dec 2014 | |
| GEODE CAPITAL MANAGEMENT, LLC |
13F
|
Company |
0.04%
|
330,124
|
$40,438,000 | — | 31 Dec 2014 | |
| KINGDON CAPITAL MANAGEMENT, L.L.C. |
13F
|
Company |
0.04%
|
312,300
|
$38,279,000 | — | 31 Dec 2014 | |
| NORGES BANK |
13F
|
Company |
0.04%
|
311,369
|
$38,165,000 | — | 31 Dec 2014 | |
| SUSQUEHANNA INTERNATIONAL GROUP, LLP |
13F
|
Company |
0.03%
|
282,110
|
$34,578,000 | — | 31 Dec 2014 | |
| BROWN ADVISORY INC |
13F
|
Company |
0.03%
|
279,600
|
$34,271,000 | — | 31 Dec 2014 | |
| Neuberger Berman Group LLC |
13F
|
Company |
0.03%
|
259,850
|
$31,849,000 | — | 31 Dec 2014 | |
| TWO SIGMA ADVISERS, LP |
13F
|
Company |
0.03%
|
259,084
|
$31,756,000 | — | 31 Dec 2014 | |
| FIRST TRUST ADVISORS LP |
13F
|
Company |
0.03%
|
246,992
|
$30,274,000 | — | 31 Dec 2014 | |
| RAINIER INVESTMENT MANAGEMENT LLC |
13F
|
Company |
0.03%
|
244,310
|
$29,945,000 | — | 31 Dec 2014 | |
| AO Asset Management, LP |
13F
|
Company |
0.03%
|
235,990
|
$28,925,000 | — | 31 Dec 2014 |
Institutional Holders of Palo Alto Networks Inc - Common Stock (PANW) as of Q1 2015
As of 31 Mar 2015,
Palo Alto Networks Inc - Common Stock (PANW) was held by
443 institutional
shareholders
that filed Form 13F with the SEC.
Together, they reported ownership of
68,124,354 shares.
The largest 10 holders included
Capital Research Global Investors, VANGUARD GROUP INC, SC XI MANAGEMENT LLC, PRICE T ROWE ASSOCIATES INC /MD/, MORGAN STANLEY, Allianz Asset Management AG, WELLS FARGO & COMPANY/MN, BlackRock Institutional Trust Company, N.A., Invesco Ltd., and SCGF III MANAGEMENT LLC.
This page lists
443
institutional shareholders reporting positions in this security
for the Q1 2015 filing period.
| Investor | Option | Weight % | Change % | Value $ | * Price | Shares | Share Change | Activity | Report Period |
|---|
Compare Q1 2015 vs Q4 2014 Across Filers
Q4 2014 holders
386
Q1 2015 holders
443
Holder diff
57
| Investor | Q4 2014 Shares | Q1 2015 Shares | Share Diff | Share Chg % | Q4 2014 Value $ | Q1 2015 Value $ | Value Diff $ | Value Chg % |
|---|
Trend: ostatnie 8 kwartałów (+ wybrane okresy porównania).
Quarterly Holders Trend
Quarterly Value Trend
Quarterly Shares Trend
* Reported Price is the price of the security as of the portfolio date. This value is significant in that it is the last known price at which the security was still held.
An asterisk sign (*) next to the price indicates that the price is likely invalid.
An asterisk sign (*) next to the price indicates that the price is likely invalid.