TYLER TECHNOLOGIES INC - Common Stock (TYL)

Historical Holders from Q1 2014 to Q3 2025

Symbol
TYL on NYSE
Type / Class
Equity / Common Stock
Shares outstanding
43.1M
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
40.4M
Holdings value
$21.1B
% of all portfolios
0.019%
Grand Portfolio weight change
-0.001%
Number of holders
837
Number of buys
375
Number of sells
-393
Average Value change %
0%
Average buys %
+0.002%
Average sells %
-0.006%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of TYLER TECHNOLOGIES INC - Common Stock (TYL)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
VANGUARD GROUP INC 12.91% $3.3B 5.57M The Vanguard Group 30 Jun 2025
BlackRock, Inc. 9.5% $2.32B 4.07M BlackRock, Inc. 31 Dec 2024

Institutional Holders of TYLER TECHNOLOGIES INC - Common Stock (TYL)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 40.4M $21.1B -$872M $523.16 837
2025 Q2 41.9M $24.8B +$1.14B $592.84 834
2025 Q1 40M $23.2B -$158M $581.39 835
2024 Q4 40.3M $23.2B +$716M $576.64 812
2024 Q3 38.8M $22.6B -$812M $583.72 778
2024 Q2 40.1M $20.1B +$252M $502.78 721
2024 Q1 39.6M $16.8B +$159M $425.01 698
2023 Q4 39.2M $16.3B +$148M $418.12 683
2023 Q3 38.9M $15B -$92.8M $386.14 641
2023 Q2 39.1M $16.2B +$316M $416.47 639
2023 Q1 38.5M $13.6B +$301M $354.64 611
2022 Q4 37.6M $12.1B -$17.7M $322.41 603
2022 Q3 37.8M $13.1B +$150M $347.50 596
2022 Q2 37.3M $12.4B -$2.89M $332.48 580
2022 Q1 37.5M $16.6B +$86M $444.89 607
2021 Q4 37.3M $19.9B -$5.52M $537.95 653
2021 Q3 37.2M $17B -$52.3M $458.65 610
2021 Q2 37.4M $16.8B +$145M $452.37 606
2021 Q1 37.4M $15.8B -$52.5M $424.53 581
2020 Q4 37.8M $16.4B +$89.2M $436.52 599
2020 Q3 37.5M $13.1B +$224M $348.56 553
2020 Q2 36.8M $12.8B +$338M $346.88 548
2020 Q1 36M $10.7B -$215M $296.56 470
2019 Q4 36.4M $10.9B +$454M $300.02 460
2019 Q3 34.9M $9.15B +$173M $262.50 414
2019 Q2 34.3M $7.4B -$45.1M $216.02 398
2019 Q1 34.7M $7.09B +$21.8M $204.40 408
2018 Q4 34.6M $6.43B -$275M $185.82 350
2018 Q3 35.7M $8.74B +$27M $245.06 352
2018 Q2 35.7M $7.92B -$117M $222.10 339
2018 Q1 36.2M $7.63B +$88.7M $210.96 331
2017 Q4 35.8M $6.34B +$104M $177.05 317
2017 Q3 34.8M $6.07B +$229M $174.32 283
2017 Q2 34.1M $5.99B +$385M $175.67 276
2017 Q1 33.5M $5.18B +$412M $154.56 283
2016 Q4 33.4M $4.78B +$62.3M $142.77 292
2016 Q3 32.8M $5.61B -$105M $171.23 290
2016 Q2 33.3M $5.55B +$87M $166.71 283
2016 Q1 32.9M $4.24B +$82.7M $128.61 262
2015 Q4 31.9M $5.55B +$65.7M $174.32 290
2015 Q3 31.5M $4.71B -$10.6M $149.31 258
2015 Q2 31.2M $4.04B +$84.2M $129.38 240
2015 Q1 30M $3.62B -$1.15M $120.53 241
2014 Q4 30.6M $3.35B +$39.5M $109.44 240
2014 Q3 30.9M $2.74B +$18.7M $88.40 214
2014 Q2 30.7M $2.8B +$43.2M $91.21 207
2014 Q1 30.3M $2.53B +$62.7M $83.68 202