Enstar Group LTD - Ordinary Shares, par value $1.00 per share (ESGR)

Historical Holders from Q1 2014 to Q3 2025

Symbol
ESGR
Type / Class
Equity / Ordinary Shares, par value $1.00 per share
Shares outstanding
15M
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
35.2K
Holdings value
$3.58M
% of all portfolios
0%
Grand Portfolio weight change
-0.006%
Number of holders
3
Number of buys
1
Number of sells
-262
Average Value change %
-0.03%
Average buys %
+0%
Average sells %
-0.027%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of Enstar Group LTD - Ordinary Shares, par value $1.00 per share (ESGR)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
DIMENSIONAL FUND ADVISORS LP 3.6% $177M 530K Dimensional Fund Advisors LP 31 Mar 2025

Institutional Holders of Enstar Group LTD - Ordinary Shares, par value $1.00 per share (ESGR)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 35.2K $3.58M -$3.97B $336.36 3
2025 Q2 11.9M $3.99B +$4.58M $336.36 270
2025 Q1 11.9M $3.94B -$184M $332.38 273
2024 Q4 12.4M $4.01B +$29.6M $322.05 274
2024 Q3 12.2M $3.93B +$47.5M $321.59 259
2024 Q2 12.1M $3.69B -$26.3M $305.70 230
2024 Q1 12.2M $3.78B -$37.7M $310.76 214
2023 Q4 12.3M $3.62B -$39.3M $294.35 202
2023 Q3 12.4M $2.99B -$13.3M $242.00 189
2023 Q2 12.5M $3.06B -$12M $244.24 179
2023 Q1 12.6M $2.92B +$1.53M $231.79 180
2022 Q4 12.6M $2.91B +$33.8M $231.04 185
2022 Q3 12.5M $2.12B +$9.91M $169.59 188
2022 Q2 12.4M $2.65B -$121M $213.98 187
2022 Q1 13M $3.39B -$19.8M $261.15 188
2021 Q4 13.1M $3.23B -$159M $247.59 187
2021 Q3 13.3M $3.13B -$427M $234.73 180
2021 Q2 15.1M $3.61B -$3.83M $238.92 176
2021 Q1 15.1M $3.73B +$3.75M $246.73 175
2020 Q4 15.1M $3.1B +$12.1M $204.89 172
2020 Q3 15.1M $2.44B -$38.7M $161.50 158
2020 Q2 15.3M $2.34B +$3.2M $152.77 149
2020 Q1 15.3M $2.44B -$13.2M $159.05 159
2019 Q4 15.4M $3.19B +$86.5M $206.86 158
2019 Q3 15.3M $2.9B +$256M $189.92 150
2019 Q2 15.1M $2.64B -$37.7M $174.28 155
2019 Q1 15.4M $2.68B +$9.63M $174.00 153
2018 Q4 15.4M $2.58B +$4.04M $167.57 147
2018 Q3 15.3M $3.19B -$10.4M $208.50 149
2018 Q2 15.4M $3.18B +$74.6M $207.30 149
2018 Q1 15M $3.15B -$179M $210.25 151
2017 Q4 15.9M $3.19B -$309M $200.75 154
2017 Q3 17.1M $3.81B +$78.1M $222.35 148
2017 Q2 16.8M $3.34B +$22.7M $198.65 139
2017 Q1 16.7M $3.19B +$170M $191.30 144
2016 Q4 16.5M $3.26B +$514M $197.70 149
2016 Q3 13.9M $2.29B -$12.8M $164.47 136
2016 Q2 14M $2.27B +$2.59M $161.99 138
2016 Q1 14M $2.27B +$153M $162.58 130
2015 Q4 13M $1.96B +$712K $150.04 131
2015 Q3 11.7M $1.75B +$24M $150.00 123
2015 Q2 11.5M $1.78B +$140M $154.95 130
2015 Q1 10.6M $1.5B -$8.27M $141.86 124
2014 Q4 10.6M $1.62B +$13.8M $152.89 129
2014 Q3 10.5M $1.43B -$13.3M $136.32 123
2014 Q2 10.6M $1.59B +$346M $150.73 125
2014 Q1 8.28M $1.13B +$55.3M $136.31 122