EMCOR Group, Inc. (EME) Institutional Ownership

Institutions by Trading Activity

Ownership Statistics

0Shares Outstanding
0Shares held by institutions
$0Value of institutional holdings
0.00%Institutional ownership %
0.00%Shares Changed QoQ
0No. of institutional investors

Shares Owned by Institutions

Shares Purchased/Sold by Institutions

1,126 Institutional Holders

0 Total Shares Held
Download Data
Owner Name Date Shares Held Change (QoQ) Change (%) Value (USD)
BlackRock, Inc. 31 Mar, 2026 4,108,185 141,324 3.56% $3,033,113,681.00
VANGUARD CAPITAL MANAGEMENT LLC 31 Mar, 2026 2,900,198 2,900,198 0.00% $2,141,245,185.00
VANGUARD PORTFOLIO MANAGEMENT LLC 31 Mar, 2026 1,998,170 1,998,170 0.00% $1,475,268,893.00
FMR LLC 31 Mar, 2026 1,958,824 -466,306 -19.23% $1,446,219,562.00
State Street Corp 31 Mar, 2026 1,934,709 40,917 2.16% $1,428,415,002.00
GEODE CAPITAL MANAGEMENT, LLC 31 Mar, 2026 1,476,322 50,799 3.56% $1,086,618,323.00
AQR CAPITAL MANAGEMENT LLC 31 Mar, 2026 937,080 269,384 40.35% $681,350,838.00
VICTORY CAPITAL MANAGEMENT INC 31 Mar, 2026 751,050 -525,916 -41.18% $554,514,358.00
KAYNE ANDERSON RUDNICK INVESTMENT MANAGEMENT LLC 31 Mar, 2026 706,966 -32,494 -4.39% $521,960,223.00
Invesco Ltd. 31 Mar, 2026 661,426 -137,845 -17.25% $488,337,431.00
FIRST TRUST ADVISORS LP 31 Mar, 2026 630,406 42,949 7.31% $465,434,901.00
Select Equity Group, L.P. 31 Mar, 2026 555,849 93,344 20.18% $410,388,875.00
Morgan Stanley 31 Mar, 2026 529,288 32,030 6.44% $390,781,065.00
Northern Trust Corp 31 Mar, 2026 485,832 -14,459 -2.89% $358,694,622.00
Bank Of Montreal /Can/ 31 Mar, 2026 482,285 -78,192 -13.95% $356,075,602.00
DIMENSIONAL FUND ADVISORS LP 31 Mar, 2026 403,390 -16,969 -4.04% $297,740,945.00
NORDEA INVESTMENT MANAGEMENT AB 31 Mar, 2026 390,768 -476 -0.12% $284,045,351.00
DEUTSCHE BANK AG\ 31 Mar, 2026 384,744 -9,850 -2.50% $284,060,343.00
UBS AM, a distinct business unit of UBS ASSET MANAGEMENT AMERICAS LLC 31 Mar, 2026 382,376 -14,844 -3.74% $282,312,025.00
UBS Group AG 31 Mar, 2026 355,018 126,830 55.58% $262,113,340.00