SpartanNash Co - Common Stock (SPTN)

Historical Holders from Q1 2014 to Q3 2025

Symbol
SPTN
CUSIP
847215100
Type / Class
Equity / Common Stock
Shares outstanding
33.9M
All holders as of September 30, 2025
Q3 2025
Total 13F shares, excl. options
991
Holdings value
$26.9K
% of all portfolios
0%
Grand Portfolio weight change
-0.001%
Number of holders
3
Number of sells
-210
Average Value change %
0%
Average sells %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of SpartanNash Co - Common Stock (SPTN)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 15.6% $105M 5.26M BlackRock, Inc. Mar 31, 2025
VANGUARD GROUP INC 7.91% $71M 2.68M The Vanguard Group Jun 30, 2025

Institutional Holders of SpartanNash Co - Common Stock (SPTN)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 991 $26.9K -$848M $26.91 3
2025 Q2 32M $849M +$93M $26.49 215
2025 Q1 29.2M $592M +$16.3M $20.26 201
2024 Q4 28.5M $522M -$5M $18.32 198
2024 Q3 28.1M $630M +$4.49M $22.41 215
2024 Q2 28.1M $528M -$15.4M $18.76 211
2024 Q1 28.9M $583M -$1.61M $20.21 193
2023 Q4 29.1M $668M +$21.4M $22.95 199
2023 Q3 28.2M $620M +$78.9K $22.00 196
2023 Q2 28.1M $633M -$3.37M $22.51 190
2023 Q1 28.1M $697M -$21.1M $24.80 203
2022 Q4 28.8M $872M -$57.9M $30.24 216
2022 Q3 30.7M $892M -$12M $29.02 207
2022 Q2 31.1M $938M +$18.7M $30.17 221
2022 Q1 30.9M $1.02B +$65.1M $32.99 218
2021 Q4 28.8M $740M +$4.24M $25.76 179
2021 Q3 28.5M $623M -$7.58M $21.90 187
2021 Q2 28.9M $558M -$30M $19.31 171
2021 Q1 30.4M $597M +$13.6M $19.63 184
2020 Q4 30M $522M -$12.5M $17.41 191
2020 Q3 30.5M $500M -$5.54M $16.35 191
2020 Q2 30.7M $653M +$49.9M $21.25 190
2020 Q1 28.6M $410M +$1.03M $14.32 163
2019 Q4 28.6M $407M -$9.61M $14.24 151
2019 Q3 29.6M $350M -$16.4M $11.83 168
2019 Q2 31M $362M +$2.89M $11.67 173
2019 Q1 31.3M $497M -$2.22M $15.87 173
2018 Q4 31.3M $537M +$3.46M $17.18 171
2018 Q3 31.1M $624M -$4.09M $20.06 154
2018 Q2 31.2M $797M +$15.3M $25.52 164
2018 Q1 31.1M $536M -$25.8M $17.21 149
2017 Q4 32.3M $862M -$13.9M $26.68 162
2017 Q3 32.8M $865M -$22.9M $26.37 152
2017 Q2 33.7M $874M -$15.3M $25.96 167
2017 Q1 33.9M $1.19B +$195M $34.99 178
2016 Q4 32.7M $1.29B +$22.4M $39.54 198
2016 Q3 32.4M $935M -$9.53M $28.92 195
2016 Q2 32.7M $1B +$16.9M $30.58 175
2016 Q1 32.4M $980M +$31.2M $30.31 189
2015 Q4 31.3M $678M -$28.4M $21.64 169
2015 Q3 31.9M $825M -$10M $25.85 178
2015 Q2 30.8M $1B +$29.9M $32.54 175
2015 Q1 30.7M $968M -$12M $31.56 155
2014 Q4 30.8M $804M +$3.12M $26.14 144
2014 Q3 31.4M $610M +$231K $19.45 142
2014 Q2 31.2M $654M +$654M $21.01 142
2014 Q1 16.5K $382K +$382K $23.15 1