Snap-on Inc - COM (SNA)

Historical Holders from Q1 2014 to Q3 2025

Symbol
SNA on NYSE
Type / Class
Equity / COM
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
47M
Holdings value
$16.3B
% of all portfolios
0.014%
Grand Portfolio weight change
-0.001%
Number of holders
936
Number of buys
433
Number of sells
-403
Average Value change %
0%
Average buys %
+0.001%
Average sells %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of Snap-on Inc - COM (SNA)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 47M $16.3B -$412M $346.53 936
2025 Q2 48.2M $15B -$84.5M $311.18 932
2025 Q1 48.6M $16.2B +$68M $337.01 954
2024 Q4 47.7M $16.2B +$72.3M $339.48 935
2024 Q3 47.3M $13.7B +$177M $289.71 881
2024 Q2 46.7M $12.2B +$148M $261.39 859
2024 Q1 46.2M $13.7B +$216M $296.22 865
2023 Q4 45.4M $13.1B -$16.3M $288.84 857
2023 Q3 45.5M $11.6B +$91.4M $255.06 806
2023 Q2 45M $12.9B -$132M $288.19 812
2023 Q1 44.8M $11.1B -$66.3M $246.89 782
2022 Q4 45.7M $10.4B -$32.3M $228.49 756
2022 Q3 45.9M $9.25B -$35.9M $201.35 698
2022 Q2 46.4M $9.15B -$227M $197.03 696
2022 Q1 47.3M $9.73B -$37.6M $205.48 697
2021 Q4 47.4M $10.2B -$98.4M $215.38 711
2021 Q3 47.7M $9.97B +$18.6M $208.95 670
2021 Q2 47.6M $10.6B +$12.4M $223.43 673
2021 Q1 47.8M $11B -$369M $230.74 642
2020 Q4 49.2M $8.42B -$176M $171.14 619
2020 Q3 50.4M $7.41B -$237M $147.13 548
2020 Q2 51.9M $7.18B +$179M $138.51 527
2020 Q1 50.5M $5.49B -$239M $108.82 534
2019 Q4 52.2M $8.84B +$40.4M $169.40 575
2019 Q3 52M $8.14B -$303M $156.54 544
2019 Q2 54M $8.93B -$279M $165.64 561
2019 Q1 56M $8.76B +$391M $156.52 582
2018 Q4 53.6M $7.77B -$227M $145.29 574
2018 Q3 54.8M $10B -$12.3M $183.60 626
2018 Q2 55.1M $8.86B +$53.7M $160.72 600
2018 Q1 54.8M $8.09B -$320M $147.54 610
2017 Q4 57.1M $9.96B -$26.8M $174.30 601
2017 Q3 57.3M $8.54B +$483M $149.01 564
2017 Q2 54.1M $8.54B +$327M $158.00 572
2017 Q1 52.4M $8.83B +$690M $168.67 578
2016 Q4 51.8M $8.87B -$140M $171.27 567
2016 Q3 51.9M $7.88B +$321M $151.96 544
2016 Q2 49.7M $7.85B +$112M $157.82 545
2016 Q1 49M $7.69B +$33.7M $156.99 536
2015 Q4 49.9M $8.55B +$40.9M $171.43 524
2015 Q3 49.7M $7.51B -$139M $150.94 499
2015 Q2 50.7M $8.08B +$252M $159.25 476
2015 Q1 49.2M $7.23B -$27.8M $147.06 467
2014 Q4 49.5M $6.77B +$26.1M $136.74 453
2014 Q3 49M $5.93B +$24.5M $121.08 426
2014 Q2 48.8M $5.78B -$131M $118.52 407
2014 Q1 49.6M $5.62B +$33.7M $113.48 397