FLEX LTD. - Common Stock (FLEX)

Historical Holders from Q1 2014 to Q3 2025

Symbol
FLEX on Nasdaq
Type / Class
Equity / Common Stock
Shares outstanding
371M
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
355M
Holdings value
$20.6B
% of all portfolios
0.021%
Grand Portfolio weight change
-0.002%
Number of holders
687
Number of buys
311
Number of sells
-315
Average Value change %
+0%
Average buys %
+0.003%
Average sells %
-0.003%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of FLEX LTD. - Common Stock (FLEX)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 10.4% +8% $2.37B $163M 38.6M +7.36% BlackRock, Inc. 30 Nov 2025
PRIMECAP MANAGEMENT CO/CA/ 7.89% -12.4% $1.72B -$235M 29.6M -12% PRIMECAP MANAGEMENT CO/CA/ 30 Sep 2025
JANUS HENDERSON GROUP PLC 7% -1.43% $1.53B -$10M 26.3M -0.65% JANUS HENDERSON GROUP PLC 30 Sep 2025
FMR LLC 6% -18.8% $797M -$221M 22.9M -21.7% FMR LLC 31 Mar 2025
Boston Partners 4.44% -15% $1.04B -$83.4M 17.9M -7.44% Boston Partners 30 Sep 2025
WELLINGTON MANAGEMENT GROUP LLP 4.6% -14% $993M -$210M 17.1M -17.4% Wellington Management Group LLP 30 Sep 2025

Institutional Holders of FLEX LTD. - Common Stock (FLEX)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 355M $20.6B -$1.2B $57.97 687
2025 Q2 377M $18.8B +$510M $49.92 645
2025 Q1 369M $12.2B -$861M $33.08 580
2024 Q4 393M $15.1B +$166M $38.39 567
2024 Q3 389M $13B -$286M $33.43 497
2024 Q2 389M $11.5B -$108M $29.49 471
2024 Q1 394M $11.3B -$113M $28.61 469
2023 Q4 380M $11.6B -$432M $30.46 457
2023 Q3 411M $11.1B -$453M $26.98 449
2023 Q2 427M $11.8B +$16.8M $27.64 438
2023 Q1 428M $9.84B -$209M $23.01 419
2022 Q4 434M $9.32B +$99M $21.46 406
2022 Q3 440M $7.34B +$44.8M $16.66 368
2022 Q2 438M $6.33B -$25.7M $14.47 348
2022 Q1 438M $8.12B -$139M $18.55 345
2021 Q4 445M $8.16B -$121M $18.33 344
2021 Q3 452M $7.99B -$212M $17.68 315
2021 Q2 463M $8.28B -$182M $17.87 325
2021 Q1 473M $8.67B -$264M $18.31 323
2020 Q4 488M $8.77B +$79.7M $17.98 313
2020 Q3 484M $5.39B +$33M $11.14 254
2020 Q2 484M $4.96B +$64.2M $10.25 270
2020 Q1 482M $4.03B -$50.3M $8.38 276
2019 Q4 481M $6.07B -$5.4M $12.62 306
2019 Q3 482M $5.04B -$63.5M $10.46 293
2019 Q2 488M $4.67B -$24.1M $9.57 310
2019 Q1 490M $4.9B +$43.1M $10.00 306
2018 Q4 489M $3.72B -$222M $7.61 301
2018 Q3 491M $6.44B -$13.1M $13.12 327
2018 Q2 494M $6.97B -$194M $14.11 329
2018 Q1 504M $8.23B -$207M $16.33 367
2017 Q4 516M $9.28B +$103M $17.99 349
2017 Q3 509M $8.44B -$21.3M $16.57 313
2017 Q2 510M $8.33B +$824M $16.31 328
2017 Q1 489M $8.21B +$303M $16.80 307
2016 Q4 492M $7.07B +$712M $14.37 322
2016 Q3 443M $6.02B -$7.61M $13.62 317
2016 Q2 444M $5.24B +$163M $11.80 329
2016 Q1 430M $5.18B -$147M $12.06 299
2015 Q4 444M $4.98B -$286M $11.21 291
2015 Q3 472M $4.97B -$284M $10.54 272
2015 Q2 501M $5.66B -$222M $11.31 287
2015 Q1 519M $6.57B -$98.6M $12.68 285
2014 Q4 528M $5.9B +$54.2M $11.18 299
2014 Q3 522M $5.39B -$46.3M $10.32 266
2014 Q2 526M $5.83B +$39.2M $11.07 261
2014 Q1 524M $4.84B -$40M $9.24 261