TD SYNNEX CORP - COMMON STOCK (SNX)

Historical Holders from Q1 2014 to Q3 2025

Symbol
SNX on NYSE
CUSIP
87162W100
Type / Class
Equity / COMMON STOCK
Shares outstanding
82.1M
All holders as of September 30, 2025
Q3 2025
Total 13F shares, excl. options
72.4M
Holdings value
$11.9B
% of all portfolios
0.011%
Grand Portfolio weight change
-0.001%
Number of holders
472
Number of buys
241
Number of sells
-197
Average Value change %
0%
Average buys %
+0.002%
Average sells %
-0.004%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of TD SYNNEX CORP - COMMON STOCK (SNX)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
VANGUARD GROUP INC 10.03% $1.17B 8.27M The Vanguard Group Jul 31, 2025
FMR LLC 7.9% -20% $1.06B -$295M 6.48M -21.7% FMR LLC Sep 30, 2025
JPMORGAN CHASE & CO 4.7% -8% $631M -$60.1M 3.85M -8.7% JPMORGAN CHASE & CO. Sep 30, 2025

Institutional Holders of TD SYNNEX CORP - COMMON STOCK (SNX)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 72.4M $11.9B -$406M $163.75 472
2025 Q2 75.2M $10.2B +$226M $135.70 470
2025 Q1 73.9M $7.68B +$26.5M $103.96 476
2024 Q4 73.4M $8.61B +$246M $117.28 456
2024 Q3 71.1M $8.53B -$149M $120.08 478
2024 Q2 73.6M $8.5B -$1.31B $115.40 476
2024 Q1 85.3M $9.64B +$966M $113.10 466
2023 Q4 76.1M $8.19B -$274M $107.61 374
2023 Q3 78.5M $7.84B -$116M $99.86 335
2023 Q2 79.8M $7.5B -$51M $94.00 316
2023 Q1 80.2M $7.76B -$76.6M $96.79 341
2022 Q4 81.1M $7.67B -$16.8M $94.71 316
2022 Q3 81.3M $6.6B -$110M $81.19 293
2022 Q2 82.6M $7.52B +$48.5M $91.10 313
2022 Q1 82.1M $8.47B -$17.7M $103.21 336
2021 Q4 82.1M $9.38B -$119M $114.36 339
2021 Q3 83.1M $8.65B +$4.5B $104.10 327
2021 Q2 39.8M $4.85B +$3.85M $121.76 335
2021 Q1 39.8M $4.57B +$116M $114.84 324
2020 Q4 39.1M $3.18B -$123M $81.44 307
2020 Q3 39.5M $5.51B +$1.65M $140.06 333
2020 Q2 39.5M $4.72B +$154M $119.77 317
2020 Q1 38.4M $2.81B -$79.6M $73.10 304
2019 Q4 39.1M $5.04B +$48M $128.80 324
2019 Q3 38.5M $4.34B -$58.6M $112.90 318
2019 Q2 39M $3.84B +$2.76M $98.40 291
2019 Q1 39.6M $3.78B +$55.9M $95.39 284
2018 Q4 39.1M $3.16B +$732M $80.84 262
2018 Q3 29.5M $2.5B +$96.5M $84.70 253
2018 Q2 28.6M $2.77B -$89.5M $96.51 245
2018 Q1 29.4M $3.48B +$51.7M $118.40 240
2017 Q4 28.9M $3.93B +$7.66M $135.95 232
2017 Q3 28.8M $3.65B +$25.8M $126.51 225
2017 Q2 28.6M $3.44B -$12.2M $119.96 228
2017 Q1 28.8M $3.23B +$344M $111.94 232
2016 Q4 29.1M $3.53B -$136M $121.02 226
2016 Q3 30.3M $3.46B +$4.06M $114.11 230
2016 Q2 30.5M $2.89B -$72.2M $94.82 211
2016 Q1 31.2M $2.89B +$54M $92.59 213
2015 Q4 29.9M $2.68B +$102M $89.93 214
2015 Q3 29.9M $2.57B +$5.7M $85.06 198
2015 Q2 30.1M $2.21B +$11.3M $73.19 185
2015 Q1 29.1M $2.25B -$25M $77.25 187
2014 Q4 30.6M $2.4B +$107M $78.16 180
2014 Q3 29.7M $1.93B +$119M $64.63 179
2014 Q2 27.8M $2.03B +$52.8M $72.85 184
2014 Q1 27.1M $1.65B +$13M $60.61 174