Shell plc - SPON ADS (SHEL)

Historical Holders from Q1 2016 to Q3 2025

Symbol
SHEL on NYSE
Type / Class
Equity / SPON ADS
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
361,842,153
Holdings value
$25,883,746,239
% of all portfolios
0.03%
Number of holders
1,365
Number of buys
575
Number of sells
-574
Average buys %
+0%
Average sells %
-0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of Shell plc - SPON ADS (SHEL)

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q3 361,842,153 $25,883,746,239 -$1,236,871,677 $71.53 1,365
2025 Q2 377,513,294 $26,582,405,380 -$640,552,355 $70.41 1,373
2025 Q1 388,697,847 $28,459,144,125 +$566,061,925 $73.28 1,393
2024 Q4 378,944,557 $23,754,571,019 +$1,047,434,846 $62.65 1,363
2024 Q3 360,613,321 $23,808,600,102 +$468,332,307 $65.95 1,337
2024 Q2 354,503,497 $25,591,198,414 +$1,351,218,750 $72.18 1,367
2024 Q1 335,760,553 $22,522,128,653 +$508,541,906 $67.04 1,327
2023 Q4 327,377,389 $21,532,756,620 +$82,636,342 $65.8 1,301
2023 Q3 325,520,488 $20,968,664,201 +$1,458,568,909 $64.38 1,253
2023 Q2 302,784,175 $18,284,132,617 +$535,172,621 $60.38 1,187
2023 Q1 292,931,122 $16,864,233,956 +$1,203,957,579 $57.54 1,170
2022 Q4 274,088,655 $15,612,416,437 -$403,793,419 $56.95 1,174
2022 Q3 279,545,707 $13,917,518,835 -$525,858,812 $49.76 1,086
2022 Q2 288,484,898 $15,080,096,861 +$1,150,747,567 $52.29 1,105
2022 Q1 273,114,677 $15,005,049,744 +$14,970,543,975 $54.93 968
2021 Q4 189,462 $8,313,976 +$7,149,923 $43.4 10
2021 Q3 3,870 $174,014 $44.57 5
2021 Q2 3,770 $153,556 $40.4 4
2021 Q1 3,770 $148,998 $39.21 4
2020 Q4 3,770 $132,478 -$3,971 $35.14 4
2020 Q3 3,883 $96,619 -$1,359 $25.17 4
2020 Q2 4,049 $134,797 -$16,770 $32.69 5
2020 Q1 4,450 $155,764 -$224,499 $34.89 4
2019 Q4 8,229 $485,346 +$220,599 $58.98 5
2019 Q3 2,953 $173,784 $58.85 3
2019 Q2 2,953 $192,151 $65.07 3
2019 Q1 2,953 $184,829 -$4,507 $62.59 3
2018 Q4 3,025 $176,267 $58.27 3
2018 Q3 3,025 $206,124 $68.14 3
2018 Q2 3,025 $209,421 +$7,338 $69.23 3
2018 Q1 2,919 $186,262 +$12,762 $63.81 2
2017 Q4 2,719 $181,385 +$6,004 $66.71 2
2017 Q3 2,629 $159,265 $60.58 2
2017 Q2 2,629 $139,836 $53.19 2
2017 Q1 2,629 $138,627 $52.73 2
2016 Q4 2,629 $142,965 -$10,876 $54.38 2
2016 Q3 2,829 $141,648 +$66,693 $50.07 2
2016 Q2 1,497 $82,664 -$22,088 $55.22 1
2016 Q1 1,897 $91,910 $48.45 1