RYDER SYSTEM INC - Common Stock (R)

Historical Holders from Q1 2014 to Q3 2025

Symbol
R on NYSE
Type / Class
Equity / Common Stock
Shares outstanding
42.1M
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
36.3M
Holdings value
$6.85B
% of all portfolios
0.006%
Grand Portfolio weight change
0%
Number of holders
469
Number of buys
216
Number of sells
-196
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 RYDER SYSTEM INC - Common Stock (R)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
WELLINGTON MANAGEMENT GROUP LLP 7.2% +18.3% $415M $57.8M 2.98M +16.2% Wellington Management Group LLP 31 Mar 2025

Institutional Holders of RYDER SYSTEM INC - Common Stock (R)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 36.3M $6.85B -$305M $188.64 469
2025 Q2 37.9M $6.03B +$186M $159.00 434
2025 Q1 36.9M $5.3B -$128M $143.81 423
2024 Q4 37.5M $5.89B +$53.1M $156.86 439
2024 Q3 37.1M $5.41B -$108M $145.80 399
2024 Q2 38M $4.7B -$54.6M $123.88 384
2024 Q1 38.4M $4.61B -$25M $120.19 357
2023 Q4 38.6M $4.44B -$43M $115.06 368
2023 Q3 39.2M $4.19B +$61.5M $106.95 343
2023 Q2 38.7M $3.28B -$138M $84.79 345
2023 Q1 40.2M $3.59B +$12.3M $89.24 366
2022 Q4 40.3M $3.37B -$250M $83.57 357
2022 Q3 43.5M $3.29B -$90.1M $75.49 339
2022 Q2 44.5M $3.17B -$185M $71.06 333
2022 Q1 47.6M $3.78B +$44.2M $79.33 355
2021 Q4 46.9M $3.86B -$44.9M $82.43 347
2021 Q3 47.1M $3.89B +$3.17M $82.71 312
2021 Q2 47.2M $3.51B +$87.9M $74.33 306
2021 Q1 46.1M $3.49B +$9.36M $75.65 295
2020 Q4 46.1M $2.85B -$70.3M $61.76 257
2020 Q3 47.2M $1.99B -$86M $42.24 227
2020 Q2 49.3M $1.85B +$108M $37.51 228
2020 Q1 46.9M $1.24B -$134M $26.44 230
2019 Q4 47.3M $2.57B -$28.7M $54.31 296
2019 Q3 47.6M $2.46B +$16.5M $51.77 282
2019 Q2 47.2M $2.75B +$14.5M $58.30 297
2019 Q1 47.2M $2.92B -$37.4M $61.99 314
2018 Q4 48.1M $2.32B -$43.7M $48.15 285
2018 Q3 47.5M $3.47B -$35.6M $73.07 326
2018 Q2 48M $3.45B -$57.9M $71.86 304
2018 Q1 48.9M $3.56B -$24.5M $72.79 313
2017 Q4 49.4M $4.16B +$97.2M $84.17 309
2017 Q3 48.2M $4.07B +$56.5M $84.55 289
2017 Q2 47.7M $3.44B -$109M $71.98 286
2017 Q1 49.2M $3.71B +$240M $75.44 320
2016 Q4 49.4M $3.68B -$19.7M $74.44 346
2016 Q3 49.5M $3.26B +$34.1M $65.95 317
2016 Q2 49.1M $3.01B -$18M $61.14 328
2016 Q1 48.9M $3.17B +$29.6M $64.78 312
2015 Q4 50.8M $2.89B -$207M $56.83 328
2015 Q3 52.9M $3.92B +$154M $74.04 362
2015 Q2 50.7M $4.43B +$222M $87.37 391
2015 Q1 48M $4.56B +$39.9M $94.89 367
2014 Q4 47.7M $4.43B -$38.7M $92.85 369
2014 Q3 47.8M $4.3B +$42.2M $89.97 353
2014 Q2 46.8M $4.13B -$38.6M $88.09 353
2014 Q1 47.6M $3.8B +$114M $79.92 316