STANTEC INC - Common Shares (STN)

Historical Holders from Q1 2014 to Q3 2025

Symbol
STN on NYSE
CUSIP
85472N109
Type / Class
Equity / Common Shares
Shares outstanding
114M
All holders as of September 30, 2025
Q3 2025
Total 13F shares, excl. options
64.9M
Holdings value
$7.02B
% of all portfolios
0.007%
Grand Portfolio weight change
-0.001%
Number of holders
274
Number of buys
132
Number of sells
-116
Average Value change %
0%
Average buys %
+0%
Average sells %
-0.005%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of STANTEC INC - Common Shares (STN)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
JARISLOWSKY, FRASER Ltd 4.57% $456M 5.21M Jarislowsky, Fraser Limited Sep 30, 2024
1832 Asset Management L.P. 4.35% -11.8% $548M -$74.7M 4.96M -12% Jarislowsky, Fraser Limited Jun 30, 2025
BlackRock, Inc. 4.3% $426M 4.87M BlackRock, Inc. Mar 31, 2025
MACKENZIE FINANCIAL CORP 4.1% -26% $504M -$161M 4.68M -24.2% MACKENZIE FINANCIAL CORP Oct 31, 2025

Institutional Holders of STANTEC INC - Common Shares (STN)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 64.9M $7.02B -$400M $107.80 274
2025 Q2 68.1M $7.42B +$24.6M $108.68 279
2025 Q1 68.1M $5.68B +$21.2M $82.84 258
2024 Q4 68.1M $5.33B +$184M $78.45 220
2024 Q3 65.6M $5.27B -$90.3M $80.41 211
2024 Q2 66.5M $5.57B +$229M $83.55 217
2024 Q1 62.7M $5.21B -$140M $83.04 223
2023 Q4 61.8M $4.97B +$237M $80.19 205
2023 Q3 58.9M $3.82B -$126M $64.87 179
2023 Q2 62.7M $4.09B -$205M $65.23 166
2023 Q1 66.3M $3.87B -$36.9M $58.41 173
2022 Q4 66.8M $3.21B -$23.8M $47.94 146
2022 Q3 66.7M $2.94B -$23.1M $43.85 130
2022 Q2 67.3M $2.94B -$98.5M $43.79 128
2022 Q1 69.3M $3.48B +$64.2M $50.16 136
2021 Q4 68M $3.82B -$2.05M $56.24 137
2021 Q3 66.8M $3.14B -$22.6M $46.94 122
2021 Q2 67.4M $3.01B -$53M $44.62 119
2021 Q1 67.5M $2.89B -$20.3M $42.79 113
2020 Q4 68.7M $2.23B +$1.18M $32.43 103
2020 Q3 70M $2.12B -$73.6M $30.34 102
2020 Q2 71M $2.19B +$51.5M $30.85 95
2020 Q1 69.8M $1.77B -$56.3M $25.53 104
2019 Q4 71.1M $2.01B -$49.3M $28.30 86
2019 Q3 68.4M $1.52B -$28.5M $22.15 70
2019 Q2 69.2M $1.66B -$99.5M $24.00 74
2019 Q1 74.6M $1.76B -$5.21M $23.64 73
2018 Q4 75M $1.64B +$35.3M $21.89 67
2018 Q3 73M $1.83B +$155M $24.86 74
2018 Q2 66.8M $1.71B +$92.7M $25.68 76
2018 Q1 62.7M $1.55B +$30.9M $24.65 79
2017 Q4 61.4M $1.72B +$19.9M $27.96 90
2017 Q3 60.8M $1.69B -$57.3M $27.75 90
2017 Q2 63M $1.58B -$74.6M $25.13 84
2017 Q1 66M $1.71B +$59.1M $25.91 87
2016 Q4 63.7M $1.61B +$83.1M $25.26 92
2016 Q3 60.4M $1.42B +$262M $23.50 86
2016 Q2 49.3M $1.19B -$100M $24.22 94
2016 Q1 52.7M $1.37B -$56.4M $25.39 98
2015 Q4 53.3M $1.32B +$84.8M $24.79 84
2015 Q3 49.6M $1.08B -$110M $21.89 76
2015 Q2 58.1M $1.73B +$95.5M $29.23 93
2015 Q1 54.9M $1.35B +$131M $23.91 94
2014 Q4 49.3M $1.37B +$681M $27.48 99
2014 Q3 24.1M $1.59B -$8.58M $65.39 106
2014 Q2 24.4M $1.52B +$44.4M $62.00 101
2014 Q1 23.7M $1.46B -$26.9M $61.13 94