UNITED NATURAL FOODS INC - Common Stock (UNFI)

Historical Holders from Q1 2014 to Q3 2025

Symbol
UNFI on NYSE
CUSIP
911163103
Type / Class
Equity / Common Stock
Shares outstanding
60.6M
All holders as of September 30, 2025
Q3 2025
Total 13F shares, excl. options
56.5M
Holdings value
$2.12B
% of all portfolios
0.005%
Grand Portfolio weight change
0%
Number of holders
276
Number of buys
130
Number of sells
-130
Average Value change %
+0%
Average buys %
+0.002%
Average sells %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of UNITED NATURAL FOODS INC - Common Stock (UNFI)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 15% $234M 9.07M BlackRock, Inc. Mar 31, 2025
VANGUARD GROUP INC 12.13% $276M 7.35M The Vanguard Group Sep 30, 2025

Institutional Holders of UNITED NATURAL FOODS INC - Common Stock (UNFI)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 56.5M $2.12B -$621K $37.62 276
2025 Q2 57.2M $1.33B +$67.4M $23.31 265
2025 Q1 54M $1.48B -$2.2M $27.39 268
2024 Q4 54M $1.47B +$44.5M $27.31 258
2024 Q3 52.5M $883M -$14.1M $16.82 235
2024 Q2 53.5M $700M +$18.5M $13.10 225
2024 Q1 52.3M $600M -$4.7M $11.49 220
2023 Q4 52M $845M +$1.82M $16.23 243
2023 Q3 52.1M $736M -$13.3M $14.14 226
2023 Q2 52.4M $1.03B -$21.8M $19.55 241
2023 Q1 52.3M $1.38B -$34.9M $26.35 256
2022 Q4 53M $2.05B +$60M $38.71 275
2022 Q3 51.6M $1.77B +$16M $34.37 265
2022 Q2 51M $2.01B +$84.7M $39.40 268
2022 Q1 49.2M $2.04B +$82.6M $41.35 276
2021 Q4 46.9M $2.3B +$1.25M $49.08 276
2021 Q3 46.8M $2.27B -$18.1M $48.42 260
2021 Q2 47.5M $1.76B -$50.8M $36.98 224
2021 Q1 49M $1.61B +$51.5M $32.94 233
2020 Q4 48.2M $769M +$30.7M $15.97 210
2020 Q3 46.1M $686M +$16.9M $14.87 214
2020 Q2 44.5M $811M -$12M $18.21 214
2020 Q1 45.9M $421M +$16.6M $9.18 180
2019 Q4 44.3M $388M -$55.3M $8.76 180
2019 Q3 49.7M $572M +$4.26M $11.52 195
2019 Q2 49.9M $447M +$15.3M $8.97 194
2019 Q1 48.6M $642M -$39.3M $13.22 219
2018 Q4 52.1M $552M -$101M $10.59 220
2018 Q3 50.7M $1.52B -$65.4M $29.95 264
2018 Q2 51.6M $2.2B +$28.2M $42.66 306
2018 Q1 51M $2.19B -$119M $42.94 312
2017 Q4 53.8M $2.65B -$103M $49.27 287
2017 Q3 56.1M $2.33B +$26.4M $41.59 280
2017 Q2 55.8M $2.05B +$75.5M $36.70 270
2017 Q1 53.5M $2.31B +$379M $43.23 288
2016 Q4 49.6M $2.37B -$14.5M $47.72 288
2016 Q3 50.4M $2.02B +$21M $40.04 310
2016 Q2 49.6M $2.32B -$31.1M $46.80 310
2016 Q1 50.7M $2.04B -$108M $40.30 289
2015 Q4 53.8M $2.12B +$5.31M $39.36 281
2015 Q3 52.2M $2.53B -$40.8M $48.51 282
2015 Q2 52.9M $3.37B +$108M $63.68 293
2015 Q1 50.2M $3.87B +$8.32M $77.04 303
2014 Q4 50.2M $3.88B +$8.8M $77.33 293
2014 Q3 50.2M $3.09B +$83.1M $61.46 270
2014 Q2 48.9M $3.18B +$136M $65.10 272
2014 Q1 47M $3.33B +$62M $70.92 273