SILGAN HOLDINGS INC - Common Stock (SLGN)

Historical Holders from Q1 2014 to Q3 2025

Symbol
SLGN on NYSE
Type / Class
Equity / Common Stock
Shares outstanding
108M
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
90.6M
Holdings value
$3.9B
% of all portfolios
0.002%
Grand Portfolio weight change
+0%
Number of holders
332
Number of buys
158
Number of sells
-196
Average Value change %
0%
Average buys %
+0%
Average sells %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of SILGAN HOLDINGS INC - Common Stock (SLGN)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
FMR LLC 13.1% +32% $603M $146M 14M +32% FMR LLC 31 Oct 2025
SILVER R PHILIP 9.5% $520M 10.1M R. Philip Silver 31 Mar 2025
JPMORGAN CHASE & CO 7.1% +34% $327M $77.2M 7.6M +30.9% JPMORGAN CHASE & CO. 30 Sep 2025
HORRIGAN D GREG 6.6% -4.29% $362M -$19.2M 7.04M -5.04% D. Greg Horrigan 31 Mar 2025
WELLINGTON MANAGEMENT GROUP LLP 5.2% $241M 5.6M Wellington Management Group LLP 30 Sep 2025

Institutional Holders of SILGAN HOLDINGS INC - Common Stock (SLGN)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 90.6M $3.9B +$266M $43.01 332
2025 Q2 83.4M $4.53B +$137M $54.18 360
2025 Q1 81M $4.14B -$6.11M $51.12 348
2024 Q4 81M $4.21B +$318M $52.05 334
2024 Q3 74.8M $3.93B +$95.8M $52.50 330
2024 Q2 73.1M $3.1B -$62.6M $42.33 302
2024 Q1 74.4M $3.61B -$4.06M $48.56 303
2023 Q4 74.7M $3.38B +$27.1M $45.25 277
2023 Q3 74.1M $3.2B -$9.28M $43.11 262
2023 Q2 74.2M $3.48B +$33.8M $46.89 269
2023 Q1 73.4M $3.94B -$54.3M $53.67 289
2022 Q4 74.6M $3.87B -$22M $51.84 280
2022 Q3 76M $3.19B +$23.4M $42.04 240
2022 Q2 75.3M $3.12B +$4.63M $41.35 256
2022 Q1 76M $3.52B +$51.5M $46.23 257
2021 Q4 74.6M $3.2B -$168M $42.84 242
2021 Q3 75.2M $2.89B -$28.2M $38.36 221
2021 Q2 75.9M $3.15B +$39.2M $41.50 237
2021 Q1 74.9M $3.15B +$26.6M $42.03 252
2020 Q4 74.3M $2.75B -$48M $37.08 257
2020 Q3 75.6M $2.78B +$14.6M $36.77 257
2020 Q2 75.2M $2.43B +$49.6M $32.39 245
2020 Q1 73.8M $2.14B -$29.3M $29.02 221
2019 Q4 74.6M $2.32B +$10.8M $31.08 239
2019 Q3 74.4M $2.23B -$2.51M $30.03 241
2019 Q2 74.5M $2.27B +$11.3M $30.60 248
2019 Q1 74.5M $2.21B +$30.1M $29.63 216
2018 Q4 73.6M $1.74B -$54.3M $23.62 205
2018 Q3 75.7M $2.1B -$2.18M $27.80 198
2018 Q2 75.5M $2.02B +$9.89M $26.83 212
2018 Q1 75.3M $2.1B +$7.99M $27.85 213
2017 Q4 75.1M $2.21B +$1.39M $29.39 206
2017 Q3 75M $2.21B +$1.01M $29.43 217
2017 Q2 75.1M $2.39B +$1.18B $31.78 202
2017 Q1 37.1M $2.2B +$136M $59.36 205
2016 Q4 38.2M $1.95B -$299M $51.18 194
2016 Q3 43.8M $2.21B +$74.1M $50.59 185
2016 Q2 42.3M $2.18B +$99.2M $51.46 198
2016 Q1 41.6M $2.21B -$53.3M $53.17 204
2015 Q4 42.5M $2.29B +$65.5M $53.72 198
2015 Q3 41.6M $2.16B +$51.8M $52.04 184
2015 Q2 40.6M $2.14B -$40.4M $52.76 190
2015 Q1 41.3M $2.4B -$150M $58.13 198
2014 Q4 43.9M $2.35B +$12.1M $53.60 187
2014 Q3 43.7M $2.05B -$50.8M $47.00 195
2014 Q2 44.7M $2.27B -$9.55M $50.82 183
2014 Q1 44.9M $2.23B +$20.7M $49.52 193