Frontline Ltd. - COM ISIN BMG3682E1921 - Shares (FRO)

Historical Holders from Q4 2015 to Q3 2025

Symbol
FRO on NYSE
CUSIP
G3682E192
Type / Class
Equity / Shares
All holders as of September 30, 2025
Q3 2025
Total 13F shares, excl. options
12.7M
Holdings value
$290M
% of all portfolios
0.002%
Grand Portfolio weight change
+0%
Number of holders
1
Number of buys
1
Average Value change %
+0%
Average buys %
+0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of Frontline Ltd. - COM ISIN BMG3682E1921 - Shares (FRO)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 12.7M $290M +$1.88M $22.79 1
2025 Q2 12.6M $207M +$4.61M $16.41 1
2025 Q1 12.3M $183M -$9.96M $14.85 1
2024 Q4 13M $185M +$9.29M $14.19 1
2024 Q3 12.2M $278M +$22.1M $22.85 2
2024 Q2 11.2M $289M +$15.1M $25.76 3
2024 Q1 10.6M $249M -$7.94M $23.38 3
2023 Q4 11M $220M -$3.6M $20.05 2
2023 Q3 11.2M $209M +$20M $18.78 2
2023 Q2 10.1M $147M -$23.9K $14.53 2
2023 Q1 9.96M $165M -$895M $16.56 9
2022 Q4 82.3M $998M +$63.9M $12.14 147
2022 Q3 76.3M $835M +$250M $10.93 153
2022 Q2 53.6M $475M +$72.3M $8.86 145
2022 Q1 34.8M $306M +$64.7M $8.80 119
2021 Q4 39.3M $278M -$5.33M $7.07 109
2021 Q3 39.4M $368M -$22.5M $9.37 118
2021 Q2 41.8M $376M +$30.3M $9.00 133
2021 Q1 38.7M $277M +$15M $7.15 119
2020 Q4 36.6M $228M -$41.2M $6.22 113
2020 Q3 42.8M $279M -$49.1M $6.50 122
2020 Q2 50.2M $350M -$33.1M $6.98 140
2020 Q1 50.5M $485M +$90.9M $9.61 129
2019 Q4 40.2M $517M +$7.44M $12.86 106
2019 Q3 40.2M $366M +$46M $9.10 99
2019 Q2 35.2M $282M +$36.8M $8.00 94
2019 Q1 32M $207M -$359K $6.46 82
2018 Q4 32.2M $178M +$25.4M $5.53 79
2018 Q3 27.6M $160M -$10.1M $5.81 82
2018 Q2 29.3M $171M +$28.1M $5.84 81
2018 Q1 24.6M $109M -$11.8K $4.43 81
2017 Q4 24.5M $112M +$10.6M $4.59 90
2017 Q3 21.8M $131M +$10.9M $6.04 80
2017 Q2 19.8M $115M +$10.4M $5.73 80
2017 Q1 17.6M $118M +$23.8M $6.74 91
2016 Q4 16.8M $119M +$20.7M $7.11 95
2016 Q3 11.9M $85.1M -$17.6M $7.17 87
2016 Q2 14.2M $112M +$24.4M $7.87 91
2016 Q1 10.8M $90.5M +$52.6M $8.37 88
2015 Q4 4.65M $13.9M +$13.9M $2.99 7