PATRICK INDUSTRIES INC - COMMON STOCK (PATK)

Historical Holders from Q1 2014 to Q3 2025

Symbol
PATK on Nasdaq
Type / Class
Equity / COMMON STOCK
Shares outstanding
33.4M
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
35.7M
Holdings value
$3.7B
% of all portfolios
0.005%
Grand Portfolio weight change
+0%
Number of holders
322
Number of buys
150
Number of sells
-149
Average Value change %
0%
Average buys %
+0.001%
Average sells %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of PATRICK INDUSTRIES INC - COMMON STOCK (PATK)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
FMR LLC 14.7% +13.8% $489M $57.6M 4.91M +13.3% FMR LLC 30 Jun 2025
BlackRock, Inc. 14.5% $390M 4.88M BlackRock, Inc. 31 Mar 2025
WELLINGTON MANAGEMENT GROUP LLP 6% $162M 2.03M Wellington Management Group LLP 31 Dec 2024
DIMENSIONAL FUND ADVISORS LP 4.9% -4% $151M -$5.79M 1.64M -3.69% Dimensional Fund Advisors LP 30 Jun 2025

Institutional Holders of PATRICK INDUSTRIES INC - COMMON STOCK (PATK)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 35.7M $3.7B +$6.16M $103.43 322
2025 Q2 35.8M $3.3B +$19.7M $92.27 313
2025 Q1 35.7M $3.02B +$178M $84.56 310
2024 Q4 33.5M $2.78B +$847M $83.08 299
2024 Q3 22.3M $3.17B +$43.3M $142.37 299
2024 Q2 21.9M $2.38B +$68.8M $108.55 262
2024 Q1 21.2M $2.53B +$42.6M $119.47 267
2023 Q4 20.9M $2.09B +$7.59M $100.35 242
2023 Q3 20.7M $1.55B -$6.66M $75.06 234
2023 Q2 20.8M $1.67B +$11.7M $80.00 221
2023 Q1 20.7M $1.42B -$24.5M $68.81 223
2022 Q4 21.1M $1.28B +$42.3M $60.60 220
2022 Q3 20.5M $900M -$9M $43.84 198
2022 Q2 20.6M $1.07B -$15.1M $51.84 213
2022 Q1 21M $1.27B -$31.3M $60.30 211
2021 Q4 21.2M $1.71B +$10.5M $80.69 218
2021 Q3 20.9M $1.74B +$10.7M $83.30 219
2021 Q2 20.8M $1.52B -$51.5M $73.00 225
2021 Q1 21.4M $1.82B +$43.5M $85.00 212
2020 Q4 21M $1.44B +$6.88M $68.35 211
2020 Q3 21M $1.21B -$26.2M $57.52 201
2020 Q2 21.4M $1.31B +$46.8M $61.25 192
2020 Q1 21M $592M -$44.7M $28.16 163
2019 Q4 21.9M $1.15B +$28.2M $52.43 190
2019 Q3 21.5M $921M -$25.7M $42.88 194
2019 Q2 21.9M $1.08B +$17.3M $49.19 187
2019 Q1 22.1M $1B +$50M $45.32 204
2018 Q4 21.3M $630M -$65.4M $29.61 205
2018 Q3 22.2M $1.32B -$39.8M $59.20 229
2018 Q2 22.9M $1.3B -$23.9M $56.85 238
2018 Q1 23.3M $1.44B +$43.6M $61.85 217
2017 Q4 22.5M $1.56B +$508M $69.45 206
2017 Q3 15M $1.27B -$3.34M $84.10 189
2017 Q2 15.1M $1.1B +$4.65M $72.85 186
2017 Q1 15.1M $1.07B +$228M $70.90 191
2016 Q4 13.4M $1.03B -$14M $76.30 180
2016 Q3 13.7M $845M +$21.3M $61.92 167
2016 Q2 13.3M $803M +$27M $60.29 155
2016 Q1 13M $588M +$7.28M $45.39 136
2015 Q4 12.8M $558M -$3.55M $43.50 133
2015 Q3 12.7M $502M +$11.4M $39.49 132
2015 Q2 12.5M $475M +$155M $38.05 125
2015 Q1 8.25M $514M +$15.5M $62.27 121
2014 Q4 8.1M $356M -$8.16M $43.98 100
2014 Q3 8.3M $352M +$978K $42.36 110
2014 Q2 8.26M $384M +$5.58M $46.59 106
2014 Q1 8.16M $361M +$30M $44.33 99