NXP Semiconductors N.V. - Common shares, EUR 0.20 par value (NXPI)

Historical Holders from Q1 2014 to Q3 2025

Symbol
NXPI on Nasdaq
Type / Class
Equity / Common shares, EUR 0.20 par value
Shares outstanding
254M
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
227M
Holdings value
$51.8B
% of all portfolios
0.022%
Grand Portfolio weight change
-0.001%
Number of holders
1099
Number of buys
499
Number of sells
-512
Average Value change %
0%
Average buys %
+0.003%
Average sells %
-0.004%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of NXP Semiconductors N.V. - Common shares, EUR 0.20 par value (NXPI)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
JPMORGAN CHASE & CO 9.1% $5.27B 23.1M JPMORGAN CHASE & CO. 30 Sep 2025
WELLINGTON MANAGEMENT GROUP LLP 4.5% -10% $2.62B -$345M 11.2M -11.6% Wellington Management Group LLP 30 Jun 2025

Institutional Holders of NXP Semiconductors N.V. - Common shares, EUR 0.20 par value (NXPI)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 227M $51.8B -$778M $227.73 1,099
2025 Q2 231M $50.4B +$808M $218.49 1,124
2025 Q1 227M $43.2B -$1.41B $190.06 1,111
2024 Q4 234M $48.7B +$290M $207.85 1,133
2024 Q3 232M $55.6B +$737M $240.01 1,130
2024 Q2 228M $61.3B -$480M $269.09 1,196
2024 Q1 230M $56.9B -$251M $247.77 1,090
2023 Q4 232M $53.3B -$42M $229.68 1,062
2023 Q3 232M $46.3B -$444M $199.92 979
2023 Q2 234M $48B +$139M $204.68 969
2023 Q1 234M $43.6B +$223M $186.48 925
2022 Q4 234M $37B +$74.6M $158.03 908
2022 Q3 234M $34.6B -$1.15B $147.51 867
2022 Q2 233M $34.5B +$242M $148.03 903
2022 Q1 231M $42.8B -$546M $185.08 928
2021 Q4 234M $53.3B -$306M $227.78 987
2021 Q3 235M $46B -$1.77B $195.87 884
2021 Q2 244M $50.2B -$1.7B $205.72 882
2021 Q1 253M $50.9B +$328M $201.34 859
2020 Q4 252M $40B -$73.4M $159.01 788
2020 Q3 253M $31.5B -$45.5M $124.81 703
2020 Q2 253M $28.9B +$508M $114.04 681
2020 Q1 250M $20.7B -$734M $82.93 647
2019 Q4 252M $32.1B +$466M $127.26 738
2019 Q3 252M $27.5B +$399M $109.12 673
2019 Q2 249M $24.3B +$38.9M $97.61 694
2019 Q1 253M $22.4B +$54.4M $88.39 691
2018 Q4 254M $18.6B -$815M $73.28 665
2018 Q3 260M $22.2B -$4.09B $85.50 669
2018 Q2 297M $32.5B -$1.68B $109.27 614
2018 Q1 316M $36.9B +$1.63B $117.00 575
2017 Q4 301M $35.2B -$410M $117.09 651
2017 Q3 302M $34.2B +$1.02B $113.09 620
2017 Q2 294M $32.2B +$998M $109.45 624
2017 Q1 287M $29.7B +$1.56B $103.50 645
2016 Q4 285M $27.9B -$1.2B $98.01 702
2016 Q3 292M $29.8B +$820M $102.01 670
2016 Q2 287M $22.5B +$1.63B $78.34 633
2016 Q1 266M $21.6B +$1.21B $81.07 576
2015 Q4 251M $21.1B +$2.92B $84.25 611
2015 Q3 218M $19B +$931M $87.07 583
2015 Q2 209M $20.5B +$10.2M $98.20 613
2015 Q1 208M $20.9B +$524M $100.36 596
2014 Q4 205M $15.7B +$345M $76.40 509
2014 Q3 201M $13.7B -$639M $68.43 443
2014 Q2 210M $13.9B -$537M $66.18 396
2014 Q1 220M $12.9B +$92.3M $58.81 347