Reynolds Consumer Products Inc. - Common Stock SH (REYN)

Historical Holders from Q1 2020 to Q3 2025

Symbol
REYN on Nasdaq
Type / Class
Equity / Common Stock SH
Shares outstanding
208,189,319
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
64,997,041
Holdings value
$1,590,485,695
% of all portfolios
0.002%
Number of holders
245
Number of buys
165
Number of sells
-109
Average buys %
+0%
Average sells %
-0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of Reynolds Consumer Products Inc. - Common Stock SH (REYN)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
Allspring Global Investments Holdings, LLC 2.2% $98,107,135 4,580,165 Allspring Global Investments Holdings, LLC 30 Jun 2025

Institutional Holders of Reynolds Consumer Products Inc. - Common Stock SH (REYN)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 64,997,041 $1,590,485,695 +$199,075,297 $24.47 245
2025 Q2 57,844,521 $1,240,551,399 +$24,355,535 $21.42 230
2025 Q1 56,405,444 $1,345,990,392 -$17,589,963 $23.86 220
2024 Q4 56,867,146 $1,532,633,174 -$14,998,084 $26.99 240
2024 Q3 57,067,135 $1,774,764,151 -$24,240,315 $31.1 248
2024 Q2 58,460,682 $1,635,756,969 -$4,931,087 $27.98 240
2024 Q1 58,669,515 $1,675,579,321 +$68,367,774 $28.56 220
2023 Q4 56,330,762 $1,512,125,671 +$10,199,594 $26.84 190
2023 Q3 55,933,858 $1,433,931,261 -$25,334,295 $25.63 165
2023 Q2 56,852,621 $1,605,995,519 -$39,098,575 $28.25 176
2023 Q1 58,241,944 $1,601,619,929 -$49,783,241 $27.5 185
2022 Q4 60,022,935 $1,799,544,926 -$86,097,134 $29.98 190
2022 Q3 62,929,985 $1,637,012,138 -$189,569,795 $26.01 177
2022 Q2 59,450,254 $1,620,886,229 +$21,627,412 $27.27 169
2022 Q1 58,711,867 $1,722,423,510 +$34,126,707 $29.34 171
2021 Q4 57,351,059 $1,800,803,501 -$417,352,823 $31.4 175
2021 Q3 58,449,937 $1,598,161,921 +$52,080,161 $27.34 164
2021 Q2 56,412,512 $1,711,455,707 -$22,129,118 $30.35 182
2021 Q1 57,254,794 $1,705,065,420 -$17,402,059 $29.78 172
2020 Q4 57,854,370 $1,737,928,089 +$64,906,709 $30.04 161
2020 Q3 55,568,095 $1,702,044,985 -$29,348,980 $30.62 153
2020 Q2 56,254,460 $1,954,055,627 +$52,409,661 $34.74 136
2020 Q1 55,033,786 $1,605,380,832 +$1,602,114,831 $29.17 101