TAKE TWO INTERACTIVE SOFTWARE INC - Common Stock, $0.01 par value (TTWO)

Historical Holders from Q1 2014 to Q3 2025

Symbol
TTWO on Nasdaq
Type / Class
Equity / Common Stock, $0.01 par value
Shares outstanding
186M
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
168M
Holdings value
$43.4B
% of all portfolios
0.024%
Grand Portfolio weight change
-0.002%
Number of holders
993
Number of buys
516
Number of sells
-412
Average Value change %
0%
Average buys %
+0.004%
Average sells %
-0.005%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of TAKE TWO INTERACTIVE SOFTWARE INC - Common Stock, $0.01 par value (TTWO)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
JPMORGAN CHASE & CO 5% $2.26B 9.3M JPMORGAN CHASE & CO. 30 Jun 2025

Institutional Holders of TAKE TWO INTERACTIVE SOFTWARE INC - Common Stock, $0.01 par value (TTWO)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 168M $43.4B -$1.13B $258.36 993
2025 Q2 173M $42B +$1.87B $242.85 976
2025 Q1 165M $34.2B -$518M $207.25 888
2024 Q4 168M $31B +$78.6M $184.08 830
2024 Q3 167M $25.7B +$18M $153.71 775
2024 Q2 166M $25.9B +$413M $155.49 785
2024 Q1 164M $24.3B +$132M $148.49 766
2023 Q4 162M $26.1B +$654M $160.95 791
2023 Q3 158M $22.2B +$461M $140.39 721
2023 Q2 155M $22.7B -$65.5M $147.16 718
2023 Q1 156M $18.6B +$161M $119.30 694
2022 Q4 155M $16.1B +$427M $104.13 690
2022 Q3 150M $16.3B +$245M $109.00 696
2022 Q2 147M $18B +$4.34B $122.53 733
2022 Q1 112M $17.2B +$1.49B $153.74 692
2021 Q4 102M $18.1B +$400M $177.72 692
2021 Q3 99.2M $15.3B -$528M $154.07 655
2021 Q2 102M $18.1B -$13.1M $177.02 693
2021 Q1 103M $18.1B -$706M $176.70 696
2020 Q4 106M $22.1B +$144M $207.79 723
2020 Q3 106M $17.5B -$186M $165.22 659
2020 Q2 107M $14.9B +$420M $139.57 635
2020 Q1 106M $12.5B +$182M $118.61 574
2019 Q4 103M $12.7B -$89.8M $122.43 597
2019 Q3 104M $13.1B -$141M $125.34 579
2019 Q2 105M $12B +$144M $113.53 557
2019 Q1 106M $10B -$297M $94.37 530
2018 Q4 109M $11.2B +$293M $102.94 546
2018 Q3 104M $14.4B -$289M $137.99 554
2018 Q2 107M $12.6B -$148M $118.36 505
2018 Q1 108M $10.6B +$321M $97.78 497
2017 Q4 104M $11.5B -$207M $109.78 479
2017 Q3 105M $10.7B +$277M $102.23 409
2017 Q2 103M $7.57B -$16.8M $73.38 373
2017 Q1 104M $6.18B +$588M $59.27 337
2016 Q4 106M $5.24B +$106M $49.29 312
2016 Q3 104M $4.7B +$183M $45.08 281
2016 Q2 102M $3.86B +$113M $37.92 274
2016 Q1 99.3M $3.74B +$65.2M $37.67 264
2015 Q4 98.3M $3.43B +$53M $34.84 252
2015 Q3 97.1M $2.79B +$151M $28.73 227
2015 Q2 92.4M $2.55B +$78.6M $27.57 245
2015 Q1 89.4M $2.28B -$54.1M $25.45 238
2014 Q4 90.2M $2.53B +$142M $28.03 243
2014 Q3 84.9M $1.96B +$76.4M $23.07 212
2014 Q2 81.6M $1.82B +$10.2M $22.24 209
2014 Q1 80.7M $1.77B +$220M $21.93 200