Selective Insurance Group Inc (SIGI) 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

368 Institutional Holders

0 Total Shares Held
Download Data
Owner Name Date Shares Held Change (QoQ) Change (%) Value (USD)
BlackRock, Inc. 31 Mar, 2026 7,499,150 25,996 0.35% $565,360,920.00
AQR CAPITAL MANAGEMENT LLC 31 Mar, 2026 3,936,658 -122,889 -3.03% $296,784,659.00
VANGUARD PORTFOLIO MANAGEMENT LLC 31 Mar, 2026 3,459,250 3,459,250 0.00% $260,792,857.00
VANGUARD CAPITAL MANAGEMENT LLC 31 Mar, 2026 2,682,461 2,682,461 0.00% $202,230,735.00
FMR LLC 31 Mar, 2026 2,501,231 -2,433,762 -49.32% $188,567,811.00
State Street Corp 31 Mar, 2026 2,326,280 -24,798 -1.05% $175,378,249.00
GEODE CAPITAL MANAGEMENT, LLC 31 Mar, 2026 1,708,819 48,061 2.89% $128,847,474.00
Janus Henderson Group Plc 31 Mar, 2026 1,568,462 786,037 100.46% $118,246,912.00
FIRST TRUST ADVISORS LP 31 Mar, 2026 1,381,867 345,348 33.32% $104,178,980.00
DIMENSIONAL FUND ADVISORS LP 31 Mar, 2026 1,359,224 44,532 3.39% $102,472,734.00
AMERICAN CENTURY COMPANIES INC 31 Mar, 2026 1,267,272 657,301 107.76% $95,539,651.00
NOMURA ASSET MANAGEMENT INTERNATIONAL INC. 31 Mar, 2026 1,197,811 -153,425 -11.35% $90,303,000.00
Morgan Stanley 31 Mar, 2026 1,122,086 -23,107 -2.02% $84,594,225.00
CHARLES SCHWAB INVESTMENT MANAGEMENT INC 31 Mar, 2026 893,753 3,207 0.36% $67,380,039.00
Northern Trust Corp 31 Mar, 2026 869,770 1,985 0.23% $65,571,960.00
Bank Of America Corp /De/ 31 Mar, 2026 759,122 18,675 2.52% $57,230,236.00
FRONTIER CAPITAL MANAGEMENT CO LLC 31 Mar, 2026 729,748 114,530 18.62% $55,015,677.00
Goldman Sachs Group Inc 31 Mar, 2026 602,964 -390,726 -39.32% $45,457,480.00
Franklin Resources Inc 31 Mar, 2026 555,324 2,774 0.50% $41,865,876.00
JACOBS LEVY EQUITY MANAGEMENT, INC 31 Mar, 2026 549,595 -125,678 -18.61% $41,433,967.00