nVent Electric plc - Common Stock (NVT)

Historical Holders from Q2 2018 to Q3 2025

Symbol
NVT on NYSE
Type / Class
Equity / Common Stock
Shares outstanding
165M
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
150M
Holdings value
$14.8B
% of all portfolios
0.014%
Grand Portfolio weight change
-0.001%
Number of holders
682
Number of buys
308
Number of sells
-312
Average Value change %
0%
Average buys %
+0.002%
Average sells %
-0.003%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of nVent Electric plc - Common Stock (NVT)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 9% $814M 14.9M BlackRock, Inc. 31 Mar 2025

Institutional Holders of nVent Electric plc - Common Stock (NVT)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 150M $14.8B -$924M $98.64 682
2025 Q2 161M $11.8B +$575M $73.25 630
2025 Q1 154M $8.09B -$49.7M $52.42 613
2024 Q4 153M $10.4B +$190M $68.16 637
2024 Q3 149M $10.5B -$81.8M $70.26 630
2024 Q2 150M $11.5B -$96.3M $76.61 654
2024 Q1 151M $11.4B +$181M $75.40 598
2023 Q4 149M $8.8B -$55.2M $59.09 549
2023 Q3 150M $7.94B +$145M $52.99 545
2023 Q2 147M $7.6B +$117M $51.67 484
2023 Q1 145M $6.23B +$6.52M $42.94 471
2022 Q4 147M $5.65B -$94.7M $38.47 445
2022 Q3 149M $4.7B -$37M $31.61 368
2022 Q2 148M $4.65B +$27M $31.33 371
2022 Q1 148M $5.14B +$11.2M $34.78 368
2021 Q4 147M $5.6B -$80.5M $38.00 387
2021 Q3 147M $4.75B -$10.1M $32.33 340
2021 Q2 147M $4.6B +$157M $31.24 340
2021 Q1 146M $4.07B -$103M $27.91 339
2020 Q4 150M $3.5B +$140M $23.29 326
2020 Q3 148M $2.62B -$29.9M $17.69 288
2020 Q2 150M $2.8B +$3.5M $18.73 285
2020 Q1 150M $2.53B -$24.2M $16.87 298
2019 Q4 150M $3.83B +$37.1M $25.58 322
2019 Q3 149M $3.29B +$42.6M $22.04 311
2019 Q2 147M $3.64B -$115M $24.79 343
2019 Q1 152M $4.11B -$41.5M $26.98 361
2018 Q4 154M $3.46B -$10.4M $22.46 344
2018 Q3 155M $4.21B +$156M $27.16 366
2018 Q2 148M $3.7B +$3.7B $25.10 350