WILLIS TOWERS WATSON PLC - COM

Historical Holders from Q1 2017 to Q3 2025

Type / Class
Equity / COM
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
5,745
Holdings value
$1,984,610
% of all portfolios
0%
Number of holders
1
Number of sells
-1
Average sells %
-0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of WILLIS TOWERS WATSON PLC - COM

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 5,745 $1,984,610 -$89,126 $345.45 1
2025 Q2 6,003 $1,839,920 -$53,025 $306.5 1
2025 Q1 6,176 $2,087,179 -$21,629 $337.95 1
2024 Q4 6,240 $1,954,618 -$66,720 $313.24 1
2024 Q3 6,453 $1,900,602 -$31,515 $294.53 1
2024 Q2 6,560 $1,719,638 -$29,884 $262.14 1
2024 Q1 6,674 $1,835,350 -$80,025 $275 1
2023 Q4 6,965 $1,679,958 -$140,378 $241.2 1
2023 Q3 7,547 $1,577,021 -$76,270 $208.96 1
2023 Q2 7,912 $1,863,276 -$1,469,930 $235.5 1
2023 Q1 14,217 $3,303,747 +$883,044 $232.38 2
2022 Q4 10,417 $2,548,000 -$18,590 $244.6 1
2022 Q3 10,493 $2,108,000 -$75,738 $200.9 1
2022 Q2 10,870 $2,146,000 -$138,789 $197.42 1
2022 Q1 11,573 $2,734,000 -$261,753 $236.24 1
2021 Q4 12,681 $3,012,000 +$138,475 $237.52 1
2021 Q3 12,098 $2,812,000 -$3,965,736 $232.44 1
2021 Q2 29,323 $6,745,224 +$3,491,459 $230.03 2
2021 Q1 14,144 $3,237,000 -$137,316 $228.86 1
2020 Q4 14,744 $3,106,000 +$270,911 $210.66 1
2020 Q3 13,458 $2,810,000 -$107,322 $208.8 1
2020 Q2 13,972 $2,752,000 -$728,969 $196.97 1
2020 Q1 17,673 $3,002,000 -$31,595 $169.86 1
2019 Q4 17,859 $3,606,000 -$83,997 $201.92 1
2019 Q3 18,275 $3,527,000 -$18,528 $193 1
2019 Q2 18,371 $3,519,000 +$820,800 $191.55 1
2019 Q1 14,086 $2,474,000 -$51,637 $175.64 1
2018 Q4 14,380 $2,184,000 -$44,196 $151.88 1
2018 Q3 14,671 $2,068,000 -$58,780 $140.96 1
2018 Q2 15,088 $2,287,000 -$1,527,446 $151.58 1
2018 Q1 25,165 $3,830,000 -$305,761 $152.2 1
2017 Q4 27,174 $4,095,000 -$253,922 $150.7 1
2017 Q3 28,859 $4,451,000 +$189,398 $154.23 1
2017 Q2 27,631 $4,019,000 -$167,125 $145.45 1
2017 Q1 28,780 $3,767,000 +$3,767,000 $130.89 1