VISA INC. - COM CL A (V)

Historical Holders from Q1 2014 to Q3 2025

Symbol
V on NYSE
Type / Class
Equity / COM CL A
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
1.47B
Holdings value
$502B
% of all portfolios
0.435%
Grand Portfolio weight change
-0.017%
Number of holders
4237
Number of buys
1927
Number of sells
-1884
Average Value change %
-0.04%
Average buys %
+0.029%
Average sells %
-0.072%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of VISA INC. - COM CL A (V)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 1.47B $502B -$10.8B $341.38 4,237
2025 Q2 1.5B $533B -$968M $355.05 4,296
2025 Q1 1.51B $528B -$3.82B $350.46 4,230
2024 Q4 1.52B $481B -$1.13B $316.04 4,244
2024 Q3 1.51B $416B -$1.69B $274.95 3,837
2024 Q2 1.52B $399B +$1.34B $262.47 3,797
2024 Q1 1.52B $423B +$1.21B $279.08 3,818
2023 Q4 1.51B $393B -$3.34B $260.35 3,741
2023 Q3 1.52B $349B -$3.33B $230.01 3,485
2023 Q2 1.53B $364B -$5.4B $237.48 3,457
2023 Q1 1.55B $349B -$550M $225.46 3,401
2022 Q4 1.56B $325B -$263M $207.76 3,370
2022 Q3 1.56B $278B +$2.56B $177.65 3,144
2022 Q2 1.55B $305B +$1.31B $196.89 3,208
2022 Q1 1.55B $344B -$846M $221.77 3,275
2021 Q4 1.55B $336B -$6.56B $216.71 3,257
2021 Q3 1.58B $351B -$3.68B $222.75 3,030
2021 Q2 1.59B $372B -$1.29B $233.82 3,021
2021 Q1 1.6B $339B +$3.38B $211.73 2,998
2020 Q4 1.58B $346B -$1.49B $218.73 2,995
2020 Q3 1.59B $318B +$52.2M $199.97 2,756
2020 Q2 1.59B $307B -$1.47B $193.17 2,702
2020 Q1 1.6B $258B -$2.36B $161.12 2,618
2019 Q4 1.61B $303B -$940M $187.90 2,647
2019 Q3 1.61B $278B -$2.14B $172.01 2,420
2019 Q2 1.62B $282B +$1.01B $173.55 2,371
2019 Q1 1.64B $256B +$1.93B $156.19 2,341
2018 Q4 1.62B $215B -$1.62B $131.94 2,277
2018 Q3 1.63B $245B -$1.52B $150.09 2,133
2018 Q2 1.65B $219B -$573M $132.45 2,106
2018 Q1 1.65B $197B -$4.31B $119.62 2,065
2017 Q4 1.68B $192B -$3.22B $114.02 2,027
2017 Q3 1.71B $180B -$1.46B $105.24 1,818
2017 Q2 1.73B $162B -$1.02B $93.78 1,763
2017 Q1 1.74B $155B +$9.58B $88.87 1,719
2016 Q4 1.75B $136B -$625M $78.02 1,655
2016 Q3 1.74B $144B +$192M $82.70 1,562
2016 Q2 1.74B $129B -$1.5B $74.17 1,564
2016 Q1 1.76B $135B -$2.29B $76.48 1,522
2015 Q4 1.79B $139B -$1.41B $77.55 1,517
2015 Q3 1.81B $126B +$1.6B $69.66 1,424
2015 Q2 1.79B $121B -$228M $67.15 1,364
2015 Q1 1.79B $117B +$86.5B $65.41 1,316
2014 Q4 456M $120B +$1.14B $262.20 1,263
2014 Q3 450M $95.9B -$190M $213.37 1,141
2014 Q2 447M $94.3B -$2.06B $210.71 1,154
2014 Q1 452M $97.5B +$690M $215.86 1,158