SONOCO PRODUCTS CO - Common Stock (SON)

Historical Holders from Q1 2014 to Q3 2025

Symbol
SON on NYSE
Type / Class
Equity / Common Stock
Shares outstanding
98.7M
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
79.6M
Holdings value
$3.43B
% of all portfolios
0.005%
Grand Portfolio weight change
0%
Number of holders
455
Number of buys
226
Number of sells
-204
Average Value change %
+0%
Average buys %
+0.002%
Average sells %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of SONOCO PRODUCTS CO - Common Stock (SON)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
VANGUARD GROUP INC 10.12% $430M 9.99M The Vanguard Group 30 Sep 2025

Institutional Holders of SONOCO PRODUCTS CO - Common Stock (SON)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 79.6M $3.43B -$56.1M $43.09 455
2025 Q2 81.1M $3.53B +$55.7M $43.56 447
2025 Q1 79.3M $3.75B +$58.9M $47.24 441
2024 Q4 77.8M $3.8B +$42.5M $48.85 444
2024 Q3 76.6M $4.18B -$87M $54.63 464
2024 Q2 78.3M $3.97B +$71.1M $50.72 470
2024 Q1 77M $4.45B +$50.2M $57.84 460
2023 Q4 76.2M $4.26B +$59.9M $55.87 456
2023 Q3 74.7M $4.06B -$43.7M $54.35 439
2023 Q2 75.5M $4.46B +$30.9M $59.02 441
2023 Q1 74.9M $4.57B +$497K $61.00 425
2022 Q4 75.4M $4.58B +$19.8M $60.71 436
2022 Q3 75.2M $4.27B -$25.2M $56.73 420
2022 Q2 75.6M $4.31B +$21.7M $57.04 420
2022 Q1 75.9M $4.75B +$81.7M $62.56 404
2021 Q4 75.2M $4.32B -$68.1M $57.89 408
2021 Q3 75.4M $4.49B -$23.3M $59.58 376
2021 Q2 75.8M $5.07B +$41.3M $66.90 386
2021 Q1 75.9M $4.8B +$48M $63.30 407
2020 Q4 75.2M $4.46B +$24.4M $59.25 414
2020 Q3 75.2M $3.84B +$20.4M $51.07 396
2020 Q2 74.7M $3.9B -$20.1M $52.29 378
2020 Q1 75.2M $3.49B +$13M $46.35 374
2019 Q4 74.5M $4.6B +$46.6M $61.72 414
2019 Q3 73.7M $4.28B -$88M $58.21 404
2019 Q2 75.2M $4.9B +$23.3M $65.34 430
2019 Q1 75.5M $4.63B +$69.5M $61.53 417
2018 Q4 74.7M $3.97B +$76.6M $53.13 403
2018 Q3 73.1M $4.06B +$103M $55.50 400
2018 Q2 71.2M $3.74B +$58M $52.50 372
2018 Q1 70.2M $3.4B -$25.4M $48.50 371
2017 Q4 70.7M $3.76B -$122M $53.14 389
2017 Q3 72.8M $3.67B -$15M $50.45 345
2017 Q2 73.1M $3.76B +$48.6M $51.42 349
2017 Q1 72.9M $3.86B +$620M $52.92 340
2016 Q4 71.6M $3.78B +$74.9M $52.70 335
2016 Q3 69.6M $3.67B +$10.4M $52.83 325
2016 Q2 70.1M $3.48B +$7.19M $49.66 332
2016 Q1 69.8M $3.39B -$2.79M $48.57 334
2015 Q4 69.9M $2.86B +$65.3M $40.87 327
2015 Q3 68.5M $2.58B +$10.9M $37.74 326
2015 Q2 68.3M $2.93B -$8.74M $42.86 343
2015 Q1 68.5M $3.11B +$23.6M $45.46 334
2014 Q4 68.1M $2.98B -$42.9M $43.70 329
2014 Q3 69M $2.71B -$12.7M $39.29 314
2014 Q2 69.5M $3.05B -$52.9M $43.93 314
2014 Q1 70.7M $2.9B -$15.2M $41.02 321