FLEX LTD. - Common Stock (FLEX)

Historical Holders from Q1 2014 to Q3 2025

Symbol
FLEX on Nasdaq
Type / Class
Equity / Common Stock
Shares outstanding
370,923,231
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
355,285,669
Holdings value
$20,597,512,356
% of all portfolios
0.021%
Number of holders
689
Number of buys
313
Number of sells
-315
Average buys %
+0%
Average sells %
-0%
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% $2,373,196,504 +$162,691,978 38,576,016 +7.4% BlackRock, Inc. 30 Nov 2025
PRIMECAP MANAGEMENT CO/CA/ 7.89% -12.4% $1,716,507,816 -$234,798,094 29,610,278 -12% PRIMECAP MANAGEMENT CO/CA/ 30 Sep 2025
JANUS HENDERSON GROUP PLC 7% -1.4% $1,525,181,773 -$9,998,724 26,309,846 -0.65% JANUS HENDERSON GROUP PLC 30 Sep 2025
FMR LLC 6% -18.8% $797,427,051 -$220,514,604 22,862,014 -21.7% FMR LLC 31 Mar 2025
Boston Partners 4.44% -15% $1,037,164,110 -$83,395,178 17,891,394 -7.4% Boston Partners 30 Sep 2025
WELLINGTON MANAGEMENT GROUP LLP 4.6% -14% $993,065,056 -$209,575,811 17,130,672 -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 355,285,669 $20,597,512,356 -$1,196,076,141 $57.97 689
2025 Q2 377,212,710 $18,830,705,675 +$510,286,276 $49.92 645
2025 Q1 369,123,303 $12,207,642,947 -$860,573,751 $33.08 580
2024 Q4 392,914,041 $15,090,123,000 +$166,371,654 $38.39 567
2024 Q3 388,793,368 $13,007,577,113 -$285,849,383 $33.43 497
2024 Q2 389,498,925 $11,487,045,203 -$108,488,988 $29.49 471
2024 Q1 393,708,324 $11,262,672,524 -$113,184,911 $28.61 469
2023 Q4 380,485,637 $11,588,188,881 -$431,828,795 $30.46 457
2023 Q3 411,297,879 $11,093,192,077 -$453,282,985 $26.98 449
2023 Q2 427,289,488 $11,801,198,996 +$16,774,968 $27.64 438
2023 Q1 427,661,214 $9,836,074,787 -$208,946,108 $23.01 419
2022 Q4 434,350,799 $9,322,697,363 +$99,018,017 $21.46 406
2022 Q3 440,362,212 $7,338,678,562 +$44,839,808 $16.66 368
2022 Q2 437,604,551 $6,331,564,976 -$25,736,359 $14.47 348
2022 Q1 437,874,513 $8,117,314,270 -$139,420,394 $18.55 345
2021 Q4 445,431,473 $8,163,610,389 -$121,041,241 $18.33 344
2021 Q3 451,710,388 $7,986,527,193 -$212,127,526 $17.68 315
2021 Q2 463,433,095 $8,281,370,594 -$182,499,926 $17.87 325
2021 Q1 473,345,711 $8,666,307,466 -$264,095,284 $18.31 323
2020 Q4 487,973,700 $8,773,871,285 +$79,740,656 $17.98 313
2020 Q3 484,239,781 $5,394,171,766 +$33,049,170 $11.14 254
2020 Q2 484,079,902 $4,962,806,983 +$64,248,601 $10.25 270
2020 Q1 481,501,964 $4,032,506,752 -$50,335,634 $8.38 276
2019 Q4 481,252,306 $6,071,233,716 -$5,400,160 $12.62 306
2019 Q3 481,542,787 $5,038,786,215 -$63,543,895 $10.46 293
2019 Q2 488,494,070 $4,673,955,209 -$24,112,364 $9.57 310
2019 Q1 490,197,261 $4,904,304,871 +$43,095,977 $10 306
2018 Q4 489,326,801 $3,723,416,878 -$222,250,248 $7.61 301
2018 Q3 491,081,466 $6,439,815,741 -$13,124,928 $13.12 327
2018 Q2 493,814,169 $6,967,501,270 -$194,475,015 $14.11 329
2018 Q1 504,015,221 $8,230,056,271 -$207,311,975 $16.33 367
2017 Q4 516,035,627 $9,281,450,315 +$102,576,126 $17.99 349
2017 Q3 509,064,305 $8,436,087,776 -$21,252,977 $16.57 313
2017 Q2 510,437,966 $8,325,489,472 +$824,332,405 $16.31 328
2017 Q1 488,764,719 $8,211,472,735 +$302,648,688 $16.8 307
2016 Q4 492,128,111 $7,070,011,156 +$712,011,861 $14.37 322
2016 Q3 442,869,248 $6,015,487,112 -$7,612,131 $13.62 317
2016 Q2 443,863,675 $5,237,693,902 +$163,358,024 $11.8 329
2016 Q1 429,677,034 $5,180,745,109 -$146,940,607 $12.06 299
2015 Q4 443,957,240 $4,977,171,315 -$286,488,880 $11.21 291
2015 Q3 471,875,564 $4,973,088,441 -$284,289,972 $10.54 272
2015 Q2 500,823,937 $5,664,980,707 -$221,936,927 $11.31 287
2015 Q1 518,769,353 $6,570,911,610 -$98,598,885 $12.68 285
2014 Q4 528,056,471 $5,895,551,018 +$54,154,327 $11.18 299
2014 Q3 522,116,036 $5,388,211,306 -$46,347,461 $10.32 266
2014 Q2 526,350,151 $5,826,777,409 +$39,154,438 $11.07 261
2014 Q1 523,535,771 $4,837,008,502 -$39,987,376 $9.24 261