WORLD KINECT CORP - Common Shares (WKC)

Historical Holders from Q1 2014 to Q3 2025

Symbol
WKC on NYSE
Type / Class
Equity / Common Shares
Shares outstanding
55.4M
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
59.4M
Holdings value
$1.54B
% of all portfolios
0.003%
Grand Portfolio weight change
0%
Number of holders
260
Number of buys
115
Number of sells
-151
Average Value change %
0%
Average buys %
+0%
Average sells %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of WORLD KINECT CORP - Common Shares (WKC)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 14.4% -6.67% $231M -$16.7M 8.15M -6.76% BlackRock, Inc. 30 Jun 2025
BRANDES INVESTMENT PARTNERS, LP 5.3% $76.3M 2.94M BRANDES INVESTMENT PARTNERS, LP 30 Sep 2025
Invesco Ltd. 4.6% -14% $64.2M -$11.3M 2.61M -14.9% Invesco Ltd. 31 Mar 2025

Institutional Holders of WORLD KINECT CORP - Common Shares (WKC)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 59.4M $1.54B -$63.1M $25.95 260
2025 Q2 61.5M $1.74B -$15.6M $28.35 274
2025 Q1 62M $1.76B +$11.5M $28.36 268
2024 Q4 61.9M $1.7B -$68.9M $27.51 262
2024 Q3 63.5M $1.96B +$69.9M $30.91 251
2024 Q2 62.3M $1.61B -$24.1M $25.80 227
2024 Q1 63.1M $1.67B +$21.5M $26.45 229
2023 Q4 62.5M $1.42B +$46.5M $22.78 231
2023 Q3 60.2M $1.35B +$36.8M $22.43 220
2023 Q2 58.4M $1.21B +$23.2M $20.68 215
2023 Q1 57.3M $1.46B +$27.7M $25.55 233
2022 Q4 56.6M $1.55B -$13.2M $27.33 224
2022 Q3 57.2M $1.34B +$16.8M $23.44 213
2022 Q2 56.2M $1.15B -$34.7M $20.46 204
2022 Q1 57.1M $1.54B -$8.61M $27.04 211
2021 Q4 58M $1.53B -$63.8M $26.47 203
2021 Q3 59.9M $2.01B +$67.2M $33.62 215
2021 Q2 57.9M $1.84B -$6.06M $31.73 223
2021 Q1 58.1M $2.04B -$27.4M $35.20 228
2020 Q4 58.9M $1.84B +$23.9M $31.16 227
2020 Q3 58.8M $1.25B -$10.4M $21.19 216
2020 Q2 59.1M $1.52B -$14.8M $25.76 221
2020 Q1 59.8M $1.5B -$87.8M $25.18 219
2019 Q4 61.5M $2.67B -$17.3M $43.42 270
2019 Q3 62.1M $2.48B +$16.2M $39.94 260
2019 Q2 62.2M $2.23B +$50.5M $35.96 230
2019 Q1 62.2M $1.8B +$11.6M $28.89 221
2018 Q4 62.3M $1.33B -$29.4M $21.41 216
2018 Q3 63.4M $1.75B -$34.3M $27.68 196
2018 Q2 65.3M $1.33B +$24.5M $20.41 197
2018 Q1 63.4M $1.56B +$54.1M $24.55 221
2017 Q4 60.5M $1.7B -$28.5M $28.14 236
2017 Q3 60.9M $2.06B -$24.7M $33.91 221
2017 Q2 61.9M $2.38B +$47.5M $38.45 240
2017 Q1 63.4M $2.3B +$124M $36.25 247
2016 Q4 64.7M $2.97B +$40.2M $45.91 264
2016 Q3 63.1M $2.92B +$6.76M $46.26 268
2016 Q2 62.9M $2.99B +$3.19M $47.49 284
2016 Q1 62.7M $3.05B -$32M $48.58 274
2015 Q4 65.5M $2.52B +$26.8M $38.46 262
2015 Q3 65.3M $2.34B -$213M $35.80 245
2015 Q2 69.8M $3.35B +$105M $47.95 260
2015 Q1 67.2M $3.86B +$9.56M $57.48 264
2014 Q4 67M $3.14B -$23.6M $46.93 250
2014 Q3 67.6M $2.7B -$21.2M $39.92 227
2014 Q2 68.2M $3.35B -$28.5M $49.23 227
2014 Q1 68.9M $3.04B -$48.5M $44.10 227