VORNADO REALTY TRUST - Common Shares of beneficial interest, $.04 par value per share (VNO)

Historical Holders from Q1 2014 to Q3 2025

Symbol
VNO on NYSE
CUSIP
929042109
Type / Class
Equity / Common Shares of beneficial interest, $.04 par value per share
Shares outstanding
192M
All holders as of September 30, 2025
Q3 2025
Total 13F shares, excl. options
160M
Holdings value
$6.49B
% of all portfolios
0.004%
Grand Portfolio weight change
-0.001%
Number of holders
389
Number of buys
175
Number of sells
-188
Average Value change %
+0%
Average buys %
+0.001%
Average sells %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of VORNADO REALTY TRUST - Common Shares of beneficial interest, $.04 par value per share (VNO)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
FRANKLIN RESOURCES INC 5.8% $404M 11.1M Franklin Resources, Inc. Sep 30, 2024

Institutional Holders of VORNADO REALTY TRUST - Common Shares of beneficial interest, $.04 par value per share (VNO)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 160M $6.49B -$768M $40.53 389
2025 Q2 180M $6.9B +$857M $38.24 403
2025 Q1 158M $5.84B -$803M $36.99 388
2024 Q4 177M $7.43B +$1.03B $42.04 384
2024 Q3 152M $6B -$294M $39.40 364
2024 Q2 171M $4.5B +$453M $26.29 339
2024 Q1 154M $4.41B -$198M $28.77 340
2023 Q4 171M $4.83B +$520M $28.25 363
2023 Q3 153M $3.47B -$93.8M $22.68 331
2023 Q2 162M $2.93B +$25.4M $18.14 320
2023 Q1 161M $2.48B -$228M $15.37 303
2022 Q4 174M $3.63B +$181M $20.81 351
2022 Q3 164M $3.8B +$64.7M $23.16 329
2022 Q2 160M $4.57B +$123M $28.59 333
2022 Q1 156M $7.07B -$75.5M $45.32 371
2021 Q4 158M $6.57B -$2.81M $41.86 379
2021 Q3 158M $6.6B +$3.85M $42.01 386
2021 Q2 158M $7.35B +$35.4M $46.67 396
2021 Q1 156M $7.03B -$202M $45.39 388
2020 Q4 162M $6.05B -$223M $37.34 363
2020 Q3 169M $5.73B +$22.8M $33.71 351
2020 Q2 168M $6.4B +$65.8M $38.21 366
2020 Q1 168M $6.08B -$152M $36.21 382
2019 Q4 166M $11B +$126M $66.50 443
2019 Q3 163M $10.4B -$163M $63.67 427
2019 Q2 166M $10.7B +$79.3M $64.10 425
2019 Q1 166M $11.2B -$240M $67.44 445
2018 Q4 169M $10.5B +$92.7M $62.03 428
2018 Q3 168M $12.3B +$50.7M $73.00 449
2018 Q2 167M $12.4B -$179M $73.92 447
2018 Q1 170M $11.4B +$11.2M $67.30 435
2017 Q4 169M $13.2B -$262M $78.18 433
2017 Q3 172M $13.2B +$223M $76.88 424
2017 Q2 169M $15.8B -$38.6M $93.90 452
2017 Q1 170M $17B +$1.32B $100.31 462
2016 Q4 171M $17.9B +$349M $104.37 442
2016 Q3 172M $17.3B -$246M $101.21 436
2016 Q2 174M $17.4B +$34.8M $100.12 433
2016 Q1 174M $16.4B -$112M $94.43 415
2015 Q4 175M $17.5B +$331M $99.96 392
2015 Q3 172M $15.5B +$191M $90.42 384
2015 Q2 170M $16.1B +$125M $94.93 401
2015 Q1 183M $20.5B -$25.6M $112.00 400
2014 Q4 168M $19.8B +$73.9M $117.71 408
2014 Q3 167M $16.7B -$166M $99.96 396
2014 Q2 169M $18.1B -$178M $106.73 390
2014 Q1 171M $16.9B +$148M $98.56 372