Phillips 66 - Common Stock (PSX)

Historical Holders from Q1 2014 to Q3 2025

Symbol
PSX on NYSE
Type / Class
Equity / Common Stock
Shares outstanding
404M
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
306M
Holdings value
$41.6B
% of all portfolios
0.033%
Grand Portfolio weight change
-0.001%
Number of holders
1803
Number of buys
812
Number of sells
-736
Average Value change %
0%
Average buys %
+0.003%
Average sells %
-0.005%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of Phillips 66 - Common Stock (PSX)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
VANGUARD GROUP INC 12.79% +12.9% $7.04B $729M 51.7M +11.6% The Vanguard Group 30 Sep 2025

Institutional Holders of Phillips 66 - Common Stock (PSX)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 306M $41.6B -$895M $136.02 1,803
2025 Q2 313M $37.4B +$1.29B $119.30 1,743
2025 Q1 303M $37.3B -$420M $123.48 1,769
2024 Q4 306M $34.9B +$248M $113.93 1,761
2024 Q3 303M $39.8B -$1.3B $131.45 1,758
2024 Q2 313M $44.2B -$891M $141.17 1,769
2024 Q1 320M $52.1B -$1.3B $163.34 1,860
2023 Q4 328M $43.7B +$992M $133.14 1,780
2023 Q3 321M $38.5B -$270M $120.15 1,647
2023 Q2 323M $30.9B -$636M $95.38 1,523
2023 Q1 330M $33.4B -$712M $101.38 1,554
2022 Q4 337M $35.1B -$46.4M $104.08 1,552
2022 Q3 338M $27.3B -$537M $80.72 1,386
2022 Q2 345M $28.3B +$746M $81.99 1,426
2022 Q1 337M $29.1B +$2.75B $86.39 1,432
2021 Q4 306M $22.2B +$130M $72.46 1,331
2021 Q3 303M $21.2B -$278M $70.03 1,211
2021 Q2 306M $26.3B +$10.8M $85.82 1,306
2021 Q1 307M $25B +$613M $81.54 1,250
2020 Q4 300M $21B +$536M $69.94 1,212
2020 Q3 293M $15.2B +$41.7M $51.84 1,113
2020 Q2 291M $20.9B -$153M $71.90 1,254
2020 Q1 294M $15.8B -$976M $53.65 1,189
2019 Q4 306M $34.1B -$47.4M $111.41 1,521
2019 Q3 307M $31.4B -$498M $102.40 1,381
2019 Q2 312M $29.2B -$456M $93.54 1,348
2019 Q1 321M $30.5B -$27.2M $95.17 1,388
2018 Q4 322M $27.7B -$203M $86.15 1,342
2018 Q3 323M $36.4B -$559M $112.72 1,379
2018 Q2 327M $36.8B +$39.3M $112.31 1,351
2018 Q1 326M $31.3B -$3.54B $95.92 1,274
2017 Q4 364M $36.8B +$171K $101.15 1,275
2017 Q3 364M $33.3B +$151M $91.61 1,144
2017 Q2 362M $30B -$21.3M $82.69 1,110
2017 Q1 367M $29.1B +$1.99B $79.22 1,109
2016 Q4 368M $31.8B -$353M $86.41 1,146
2016 Q3 370M $29.8B -$390M $80.55 1,077
2016 Q2 372M $29.5B -$362M $79.34 1,085
2016 Q1 377M $32.6B -$36.2M $86.59 1,113
2015 Q4 381M $31.1B -$941M $81.80 1,116
2015 Q3 389M $29.9B -$45.4M $76.84 1,033
2015 Q2 390M $31.4B +$474M $80.56 1,060
2015 Q1 384M $30.2B -$363M $78.60 1,056
2014 Q4 390M $27.9B -$414M $71.70 1,027
2014 Q3 395M $32.1B -$238M $81.31 1,015
2014 Q2 399M $32.1B +$826M $80.43 1,030
2014 Q1 389M $30B -$2.14B $77.06 1,005