Virgin Galactic Hldgs In - COM (SPCE) Institutional Ownership

CUSIP: 92766K106

13F Institutional Holders and Ownership History from Q1 2019 to Q4 2025

Type / Class
Equity / COM
Symbol
SPCE on NYSE
Price per share
$2.10
All holders as of 31 Dec 2025
Q4 2025
Total 13F shares
6
Total reported value
$17
Share change
0
Number of holders
2
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Investment Quick Answers

What is CUSIP 92766K106?
CUSIP 92766K106 identifies SPCE - Virgin Galactic Hldgs In - COM in SEC 13F datasets.

Where can I see the latest institutional holders?
Review the Q4 2025 holders report and the ownership history table below.

As of 31 Dec 2025, 2 institutional investors reported holding 6 shares of Virgin Galactic Hldgs In - COM (SPCE).

Institutional Holders of Virgin Galactic Hldgs In - COM (SPCE) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 6 $17 $2.10 2
2025 Q3 6 $20 $2.40 2
2025 Q2 6 $15 $1.90 2
2025 Q1 6 $16 -$12 $2.00 2
2024 Q4 10 $54 -$42,366 $3.44 2
2024 Q3 28,636 $42,422 -$88,996 $1.48 3
2024 Q2 15,905 $131,438 -$243,918,718 $8.44 8
2024 Q1 165,684,728 $245,214,514 +$14,161,841 $1.48 220
2023 Q4 155,277,890 $380,424,831 +$57,281,709 $2.45 246
2023 Q3 131,884,213 $237,540,141 +$39,265,647 $1.80 233
2023 Q2 105,622,992 $409,859,361 +$21,530,060 $3.88 244
2023 Q1 100,098,308 $405,407,974 +$11,565,070 $4.05 241
2022 Q4 97,344,563 $338,753,953 +$22,999,962 $3.48 240
2022 Q3 90,252,900 $425,109,124 +$108,517 $4.71 213
2022 Q2 88,974,857 $535,727,617 +$4,331,428 $6.02 224
2022 Q1 84,957,437 $839,149,772 +$70,154,172 $9.88 241
2021 Q4 76,668,608 $1,025,885,619 +$154,980,451 $13.38 252
2021 Q3 62,960,509 $1,592,514,599 +$91,443,545 $25.30 252
2021 Q2 55,433,704 $2,549,413,136 +$325,762,902 $46.00 308
2021 Q1 50,810,385 $1,556,056,756 -$132,872,815 $30.63 279
2020 Q4 55,879,246 $1,326,512,715 +$17,008,734 $23.73 286
2020 Q3 55,635,043 $1,071,295,856 +$182,144,998 $19.23 261
2020 Q2 46,352,161 $757,751,340 +$427,793,951 $16.34 202
2020 Q1 20,336,666 $300,891,140 -$235,306,788 $14.78 134
2019 Q4 39,805,924 $459,758,941 +$414,059,224 $11.55 95
2019 Q3 629,088 $6,916,000 +$6,676,000 $10.70 3
2019 Q2 5,212 $240,000 $28.02 1
2019 Q1 5,212 $240,000 $28.02 1