VIACOM INC NEW - CL B (VIAB) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q1 2025

Type / Class
Equity / CL B
Symbol
VIAB
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of VIACOM INC NEW - CL B (VIAB) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q1 0 $0 -$1,255,000 0
2024 Q4 14,372 $1,255,000 $87.32 1
2022 Q1 0 $0 -$731,000 0
2021 Q4 24,213 $731,000 -$20,267,000 $30.19 1
2021 Q3 1,304,251 $20,998,000 +$2,859,590 $16.10 1
2021 Q2 1,126,633 $17,247,000 +$17,247,000 $15.31 1
2020 Q1 0 $0 -$27,825,616 0
2019 Q4 145,631 $6,103,616 -$7,160,824,650 $41.96 5
2019 Q3 301,163,258 $7,237,270,933 -$333,269,383 $24.03 571
2019 Q2 312,005,017 $9,304,777,294 -$251,804,205 $29.87 599
2019 Q1 324,985,359 $9,111,320,588 -$27,135,937 $28.07 604
2018 Q4 326,166,469 $8,382,023,715 +$18,762,894 $25.70 614
2018 Q3 322,017,031 $10,864,318,303 +$2,271,573 $33.76 586
2018 Q2 321,901,009 $9,706,570,873 +$122,162,055 $30.16 555
2018 Q1 318,328,837 $9,881,127,803 -$233,551,501 $31.06 560
2017 Q4 326,339,693 $10,051,627,257 +$146,745,507 $30.81 540
2017 Q3 320,744,537 $8,929,801,859 -$37,718,991 $27.84 517
2017 Q2 319,785,627 $10,737,726,678 +$251,122,872 $33.57 538
2017 Q1 309,158,380 $14,414,389,797 +$1,459,536,495 $46.62 558
2016 Q4 300,763,054 $10,554,300,523 -$325,270,173 $35.10 557
2016 Q3 307,961,331 $11,725,000,831 +$96,077,090 $38.10 572
2016 Q2 304,921,510 $12,643,331,921 +$72,928,239 $41.47 585
2016 Q1 303,167,981 $12,507,381,384 -$446,502,296 $41.28 575
2015 Q4 314,913,347 $12,960,727,809 -$373,037,798 $41.16 593
2015 Q3 322,531,806 $13,917,167,163 -$241,402,441 $43.15 565
2015 Q2 319,864,360 $20,693,204,647 +$470,288,314 $64.64 670
2015 Q1 312,591,637 $21,350,586,070 -$490,906,185 $68.30 640
2014 Q4 319,257,978 $24,018,374,056 -$152,685,513 $75.25 667
2014 Q3 321,155,736 $24,706,512,163 -$610,492,119 $76.94 621
2014 Q2 327,712,255 $28,421,128,404 -$795,093,621 $86.73 637
2014 Q1 336,755,620 $28,617,878,081 -$416,715,098 $84.99 629