PATTERSON COMPANIES, INC. - Common Stock, par value $0.01 (PDCO)

Historical Holders from Q1 2014 to Q3 2025

Symbol
PDCO
Type / Class
Equity / Common Stock, par value $0.01
Shares outstanding
88.5M
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
1.53K
Holdings value
$48K
Grand Portfolio weight change
0%
Number of holders
1
Number of sells
-6
Average Value change %
0%
Average sells %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of PATTERSON COMPANIES, INC. - Common Stock, par value $0.01 (PDCO)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
GLAZER CAPITAL, LLC 5.24% $145M 4.64M Glazer Capital, LLC 24 Mar 2025

Institutional Holders of PATTERSON COMPANIES, INC. - Common Stock, par value $0.01 (PDCO)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 1.53K $48K -$696K $31.43 1
2025 Q2 24K $744K -$2.41B $31.24 7
2025 Q1 77.1M $2.41B +$68.6M $31.24 293
2024 Q4 74.9M $2.31B +$37.5M $30.86 302
2024 Q3 74M $1.62B -$16.1M $21.84 273
2024 Q2 74.8M $1.8B -$26.8M $24.12 313
2024 Q1 75.8M $2.1B -$8.03M $27.65 290
2023 Q4 76.4M $2.17B -$1.07M $28.45 304
2023 Q3 76.4M $2.26B -$13.7M $29.64 302
2023 Q2 76.5M $2.54B -$53.7M $33.26 322
2023 Q1 78.2M $2.09B -$25.4M $26.77 294
2022 Q4 79.6M $2.23B +$10.9M $28.03 297
2022 Q3 79.9M $1.92B -$23M $24.02 258
2022 Q2 80.6M $2.44B +$26.5M $30.30 285
2022 Q1 80.2M $2.59B +$27.8M $32.37 256
2021 Q4 79.4M $2.33B -$70M $29.35 266
2021 Q3 80M $2.41B -$83.5M $30.14 251
2021 Q2 82.9M $2.52B -$15.9M $30.39 259
2021 Q1 83.2M $2.66B -$76.2M $31.95 270
2020 Q4 85.6M $2.54B +$37.6M $29.63 257
2020 Q3 84.5M $2.04B -$56.7M $24.11 234
2020 Q2 87.3M $1.92B +$69.7M $22.00 242
2020 Q1 84.8M $1.3B -$75.9M $15.29 239
2019 Q4 88.3M $1.81B -$44.3M $20.48 255
2019 Q3 90.4M $1.61B -$20.7M $17.82 257
2019 Q2 91M $2.08B +$49.5M $22.90 289
2019 Q1 90.1M $1.97B -$9.53M $21.85 300
2018 Q4 90.6M $1.78B -$126M $19.66 296
2018 Q3 96.4M $2.36B -$19.9M $24.45 328
2018 Q2 97.1M $2.2B +$252M $22.67 329
2018 Q1 85.4M $1.9B -$156M $22.23 345
2017 Q4 89.6M $3.24B -$28.7M $36.13 386
2017 Q3 90.2M $3.49B +$153M $38.65 379
2017 Q2 85.6M $4.02B -$82.9M $46.95 385
2017 Q1 87.5M $3.95B +$320M $45.23 387
2016 Q4 87.1M $3.57B +$204M $41.03 394
2016 Q3 81.1M $3.72B +$121M $45.94 390
2016 Q2 77.8M $3.73B +$59.4M $47.89 404
2016 Q1 77.2M $3.59B +$37.1M $46.53 382
2015 Q4 76.4M $3.45B -$120M $45.21 381
2015 Q3 77.9M $3.36B +$28.2M $43.25 375
2015 Q2 76.6M $3.73B -$162M $48.65 381
2015 Q1 80M $3.9B +$168M $48.79 357
2014 Q4 76.6M $3.69B -$137M $48.10 359
2014 Q3 79.3M $3.28B +$16.3M $41.43 329
2014 Q2 78.8M $3.11B +$70.5M $39.51 329
2014 Q1 77.4M $3.23B -$71.3M $41.76 323