VERMILION ENERGY INC. - Common Shares (VET)

Historical Holders from Q1 2014 to Q3 2025

Symbol
VET on NYSE
Type / Class
Equity / Common Shares
Shares outstanding
155M
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
66.9M
Holdings value
$523M
% of all portfolios
0.004%
Grand Portfolio weight change
0%
Number of holders
126
Number of buys
62
Number of sells
-71
Average Value change %
+0%
Average buys %
+0.001%
Average sells %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of VERMILION ENERGY INC. - Common Shares (VET)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 9.1% +30% $102M $23M 14M +29.3% BlackRock, Inc. 30 Jun 2025
MILLENNIUM MANAGEMENT LLC 5.5% 0% $64.3M $511K 8.53M +0.8% Millennium Management LLC 16 Sep 2025

Institutional Holders of VERMILION ENERGY INC. - Common Shares (VET)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 66.9M $523M -$10.3M $7.82 126
2025 Q2 68.4M $498M +$15.2M $7.28 138
2025 Q1 65.9M $534M +$40.5M $8.10 153
2024 Q4 60.9M $573M +$7.49M $9.40 157
2024 Q3 57.9M $566M -$18.3M $9.77 147
2024 Q2 59.5M $655M +$50.8M $11.01 154
2024 Q1 52.2M $649M +$21.7M $12.44 159
2023 Q4 50.9M $615M -$5.51M $12.06 171
2023 Q3 49.1M $716M +$24.7M $14.62 165
2023 Q2 47.8M $596M -$4.17M $12.45 151
2023 Q1 47.8M $621M -$63.2M $12.97 155
2022 Q4 50.5M $898M +$63.9M $17.70 161
2022 Q3 45M $966M +$88.2M $21.42 163
2022 Q2 40.5M $775M -$77.4M $19.05 147
2022 Q1 44.8M $941M +$71M $21.02 149
2021 Q4 41.1M $517M +$69.2M $12.59 125
2021 Q3 35.2M $348M +$65.1M $9.89 105
2021 Q2 28.7M $249M +$6.16M $8.75 97
2021 Q1 28.4M $206M +$36.4M $7.27 90
2020 Q4 24.3M $109M +$15.5M $4.45 81
2020 Q3 21.8M $51.1M -$3.19M $2.34 77
2020 Q2 22.5M $99.8M -$41.1M $4.45 100
2020 Q1 32.3M $101M -$216M $3.11 99
2019 Q4 48.1M $786M -$116M $16.36 131
2019 Q3 55.1M $920M -$343M $16.70 158
2019 Q2 72.1M $1.57B -$124M $21.73 162
2019 Q1 77.6M $1.92B -$11.5M $24.70 166
2018 Q4 78.4M $1.65B -$104M $21.07 163
2018 Q3 81.9M $2.66B +$21.1M $32.93 171
2018 Q2 81.2M $2.92B +$490M $36.01 171
2018 Q1 67.7M $2.18B +$12.8M $32.24 167
2017 Q4 67.2M $2.44B +$55.2M $36.32 165
2017 Q3 66.5M $2.36B +$44.9M $35.56 166
2017 Q2 64.9M $2.06B +$157M $31.73 161
2017 Q1 60.3M $2.26B -$9.22M $37.50 162
2016 Q4 60.1M $2.52B -$3.59M $42.15 160
2016 Q3 60.2M $2.33B +$346M $38.74 148
2016 Q2 51.3M $1.63B -$62.3M $31.82 134
2016 Q1 53.5M $1.57B -$33.5M $29.25 121
2015 Q4 57.6M $1.56B +$53.4M $27.14 123
2015 Q3 55.5M $1.78B +$106M $32.15 120
2015 Q2 52.1M $2.26B -$4.88M $43.20 121
2015 Q1 52.8M $2.22B +$14.6M $42.06 125
2014 Q4 55.2M $2.73B +$265M $49.05 126
2014 Q3 46.7M $2.85B +$223M $60.83 140
2014 Q2 44.9M $3.14B +$33M $69.71 134
2014 Q1 44.5M $2.8B +$45.1M $62.47 125