nVent Electric plc (NVT) Institutional Ownership

Institutions by Trading Activity

Ownership Statistics

164,600,000Shares Outstanding
147,186,476Shares held by institutions
$24,235,725,138Value of institutional holdings
89.42%Institutional ownership %
14.30%Shares Changed QoQ
812No. of institutional investors

Shares Owned by Institutions

Shares Purchased/Sold by Institutions

4,316 Institutional Holders

147,186,476 Total Shares Held
Download Data
Owner Name Date Shares Held Change (QoQ) Change (%) Value (USD)
BlackRock, Inc. 31 Mar, 2026 16,459,983 702,272 4.46% $1,946,886,839.00
BlackRock, Inc. 31 Mar, 2026 15,757,711 263,325 1.70% $1,606,813,756.00
BlackRock, Inc. 31 Mar, 2026 15,757,711 263,325 1.70% $1,606,813,756.00
BlackRock, Inc. 31 Mar, 2026 15,757,711 263,325 1.70% $1,606,813,756.00
BlackRock, Inc. 31 Mar, 2026 15,757,711 263,325 1.70% $1,606,813,756.00
BlackRock, Inc. 31 Mar, 2026 15,757,711 263,325 1.70% $1,606,813,756.00
VANGUARD GROUP INC 31 Mar, 2026 15,704,206 -310,574 -1.94% $1,601,357,885.00
VANGUARD GROUP INC 31 Mar, 2026 15,704,206 -310,574 -1.94% $1,601,357,885.00
VANGUARD GROUP INC 31 Mar, 2026 15,704,206 -310,574 -1.94% $1,601,357,885.00
VANGUARD GROUP INC 31 Mar, 2026 15,704,206 -310,574 -1.94% $1,601,357,885.00
VANGUARD GROUP INC 31 Mar, 2026 15,704,206 -310,574 -1.94% $1,601,357,885.00
VANGUARD CAPITAL MANAGEMENT LLC 31 Mar, 2026 7,250,512 7,250,512 0.00% $857,590,559.00
VANGUARD PORTFOLIO MANAGEMENT LLC 31 Mar, 2026 6,718,757 6,718,757 0.00% $794,694,578.00
MILLENNIUM MANAGEMENT LLC 31 Mar, 2026 6,133,892 1,186,991 23.99% $625,472,967.00
MILLENNIUM MANAGEMENT LLC 31 Mar, 2026 6,133,892 1,186,991 23.99% $625,472,967.00
MILLENNIUM MANAGEMENT LLC 31 Mar, 2026 6,133,892 1,186,991 23.99% $625,472,967.00
MILLENNIUM MANAGEMENT LLC 31 Mar, 2026 6,133,892 1,186,991 23.99% $625,472,967.00
MILLENNIUM MANAGEMENT LLC 31 Mar, 2026 6,133,892 1,186,991 23.99% $625,472,967.00
State Street Corp 31 Mar, 2026 5,062,874 91,248 1.84% $598,836,737.00
State Street Corp 31 Mar, 2026 4,971,626 -27,263 -0.55% $506,956,703.00